Register with Us
Entity Finance Manager
  • United Kingdom - Cambridgeshire - Cambridge -
1 year ago
£60000 - £70000 Per year
Finance Manager
Full-time, Temporary
Job Description
  • Audit experience Technical knowledge of types of entities
  • Recognised Accountancy Qualification (ACA/ACCA/CIMA or local equivalent)
  • Knowledge of FRS102 / UKGAAP preferential
  • US GAAP for internal reporting
  • Experience of working in Multi currency / multinational companies
  • Ability to work effectively within a complex management matrix structure.
  • Must possess "soft skills": conflict resolution and negotiation, personal effectiveness, creative problem solving, strategic thinking, team building, and influencing skills.
  • High level of commitment and flexibility, poise, communication and teamwork skills
  • Ability to interact with all levels, influence senior managers and be equally comfortable with senior management in cross-functional efforts.
  • Broad, creative, and innovating thinking and the ability to gather extensive amounts of information and synthesize into concise reports and presentations.
  • Strong financial, IT and analytical skills with an operational focus
  • Design and deliver a month end reporting pack that provides insight into all entities.
  • Provide insight and analysis on all entity P&Ls. Close attention on Sales, Cost of Goods and Margins.
  • Regular detailed P&L reviews with Tech Ops finance, Head of Financial Control and relevant SSC colleagues.
  • Balance sheet reviews - thorough balance sheet reviews to be performed on a monthly basis with focus on key risk areas (GRNI, Accruals) to be covered.
  • Inter-company reporting
  • Cash flow reporting - responsible for submissions and commentary on monthly cash flow submissions.
  • Ensure Control framework is sufficient across key entities
  • Quarterly reviews are carried out with relevant stakeholders
  • Letters are submitted on time. Risks are highlighted and dealt with.
  • Provide assistance and guidance to SSC during external statutory audit process. Acting as escalation between SSC and external auditors.
  • Monitor and track delivery of all statutory audits and filings, liaising with SSC and Technical finance teams.
  • Ensure P13 adjustments are monitored and adhere to group policy before submission and posting.
  • Work with Tax and SSC to ensure all tax filings are completed to statutory deadlines.
  • Responsible for updating audit trackers for Tech ops entities.
  • Responsible for delivery and review of the full entity budgets for the Tech Ops entities.
  • Work closely with relevant FBPs to ensure all market Opex is included budgets and with required detail captured.
  • Full reviews of budgets and forecasts to be reviewed with Tech ops finance and Head of financial control.
  • Ensure full and detailed balance sheet submissions, capturing working capital targets are agreed by entity.
  • Provide guidance to the Tech Ops FBP and FA for on products purchased and distributed.
  • Working with Supply chain, Procurement and Alliance management to ensure all price lists are monitored and kept up to date in alignment with commercial agreements.
  • Work with relevant stakeholders (Tax, Treasury) to ensure appropriate margins are made within each entity, by product.
  • Work with external parties and in house Technical Accounting teams to ensure knowledge is up to date on new accounting policies and changes.
  • Provide training and updates to Tech Ops finance teams on changes to internal and external policies and standards.

Required Knowledge, Skills, and Abilities

Reference no: 91061

Jobseeker

Are looking for job?
Apply now

Recruiter

Are you recruiting?
Post a job