Our client, a well-established and growing business based in Coventry, is looking to appoint an experienced Finance Manager to join their finance team. This is an excellent opportunity for a qualified accountant to take on a key role within a dynamic organisation, overseeing all aspects of financial accounting, reporting, and analysis while managing a small team of finance assistants.
The Finance Manager will work closely with the Head of Finance to ensure the accuracy and integrity of financial records, maintain robust internal controls, and provide insightful financial analysis to support strategic decision-making. This role offers genuine scope for career development and the chance to make a significant impact within a supportive and forward-thinking business environment.
Key Responsibilities
Financial Accounting & Reporting
Ensuring the accuracy and timeliness of all financial records, including accounts payable, accounts receivable, general ledger, fixed assets, and balance sheet reconciliations
Conducting monthly, quarterly, and annual closing procedures, ensuring smooth and accurate reconciliation processes
Managing and maintaining internal controls to safeguard financial assets and mitigate operational and financial risks
Overseeing the accurate and timely filing of VAT returns in compliance with requirements
Working collaboratively with external tax advisors as needed to ensure compliance and optimise tax positions
Liaising with external auditors during the audit process, providing required documentation and supportAccounts Payable & Receivable Management
Leading and managing a team of two finance assistants responsible for accounts payable and accounts receivable functions
Implementing and monitoring robust internal controls for accounts payable and accounts receivable processes
Ensuring timely payments to vendors while optimizing cash flow and maintaining strong supplier relationships
Overseeing efficient collection of customer receivables and minimizing outstanding debtor balances
Monitoring and reporting to management on the aged debtors position, ensuring risks are identified, highlighted, and mitigated appropriatelyFinancial Analysis & Reporting
Preparing accurate cash flow forecasts, highlighting liquidity opportunities and potential risks to support working capital management
Conducting product margin analysis to identify financial risks and opportunities for improved profitability
Providing insightful financial reporting and analysis to support management decision-making
Participating actively in budgeting and financial planning processes, contributing to the development of financial strategies
Delivering regular financial performance reports and commentary to the Head of Finance and wider management teamContinuous Improvement & Stakeholder Management
Managing relationships with banks and other financial institutions
Identifying and implementing process improvements within the finance department to enhance efficiency and accuracy
Supporting the Head of Finance with ad hoc projects and strategic initiatives as required
Performing other duties as assigned to support the overall objectives of the finance function
Key Requirements
Essential Qualifications & Experience
Qualified Accountant (ACA, ACCA, CIMA, or equivalent)
Extensive working knowledge of enterprise resource planning systems
Proven experience in managing accounts payable and accounts receivable functions
Strong understanding of financial accounting principles, internal controls, and UK taxation (particularly VAT)
Experience in conducting financial analysis, cash flow forecasting, and margin analysis
Personal Qualities
Proactive and self-motivated with the ability to work independently and as part of a team
Strong organisational skills with the ability to manage multiple priorities and meet deadlines
Problem-solving mindset with a commitment to continuous improvement
High level of integrity and professionalism in handling confidential financial information
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