Robert Half is partnering a Manchester based infrastructure investment manager in the appointment of an ACA/ACCA/CIMA qualified Finance Manager.
Make sure to read the full description below, and please apply immediately if you are confident you meet all the requirements.
Applications are welcome from first-time movers from practice wanting to gain industry exposure. This is down to experience gained in managing a multi-client portfolio. This is a unique opportunity to obtain a high level of responsibility and variation at this stage in your career. Must be comfortable working on-site in Manchester city centre.
The role will take ownership of management accounting, financial accounting, reporting, and company secretarial activities across a multi-entity/project environment. This role is suited to an accountant who thrives in a dynamic setting, can adapt to shifting priorities, and enjoys collaborating closely with a broad range of stakeholders.
This role offers broad exposure across management and statutory accounts, commercial accounting, and company secretarial duties within a niche industry, providing experience beyond typical finance roles. Engagement with lenders, shareholders, suppliers, operations teams, and local authorities develops strong commercial and relationship management skills. A collaborative, supportive environment ensures continuous learning and guidance at all levels.
Key responsibilities will include:
Management Accounting
Incorporate purchase ledgers, sales ledgers, cash books, and loan schedules into ETBs and reconcile to SUN Systems.
Maintain accruals, prepayments, amortisation schedules, and related workings.
Prepare monthly management accounts and analyse actuals versus budget.
Supervise VAT and CIS return preparation and submission.
Oversee preparation of purchase invoices, non-supplier payments, and customer invoices.
Supervise maintenance of cash books and loan schedules.
Financial Accounting
Prepare statutory accounts for the annual audit.
Produce supporting documentation and working papers for year-end audits.
Liaise with internal and external audit teams.
Coordinate with tax advisors on corporation tax computations.
Reporting
Present finance reports to shareholders at quarterly project board meetings.
Track and ensure compliance with project deliverables tied to loan facility agreements.
Maintain financial and operating models; prepare budgets and cash flow forecasts.
Company Secretarial Duties
Take minutes at project board meetings.
Prepare and submit Companies House filings and related formal documentation
Key requirements for the role:
ACA/ACCA/CIMA qualified accountant.
Multi-entity or multi-project experience and comfortable managing responsibilities across several entities or projects simultaneously.
Flexibility under pressure and able to adapt quickly to changing priorities while delivering under tight or competing deadlines.
A collaborative team player who demonstrates respect, supports colleagues, and contributes positively to team culture.
Strong commercial awareness and understanding of client-facing responsibilities, adopting a commercially minded approach.
Advanced Excel proficiency and adaptability to new financial systems and tools.