ONNEC Group are a leading independent technology partner and global integrator, with over 30 years experience, and a 800 team of global experts, specialising in providing end-to-end connectivity solutions that propel organisations everywhere. From structured cabling to managed services, our end-to-end services give infrastructure that can be completely replied on. Design. Build. Deploy. Optimise. We offer a complete solution for business connectivity. We are a rapidly growing organisation and finding and retaining the highest calibre of people is fundamental to us for the success of our business, we work hard to create a challenging, supportive and satisfying working environment for all our employees. ONNEC has successfully achieved the Investors in Diversity Foundational Award for our commitment to equality, diversity and inclusion in the workplace. This commercial position is a key role in finance but also the wider business. As Finance Manager, your responsibilities will include overseeing end-to-end finance operations, financial planning and analysis, balance sheet reconciliations for the US entity, looking to make improvements to procedures and controls, as well as ad-hoc projects and requests as and when they come up. What you’ll be doing as our Finance Manager: Leading the analysis of monthly and quarterly P&L, Balance Sheet and Cash Flow Statements and presenting findings/recommendations to senior stakeholders. Prepare and post monthly accruals, prepayments and similar accounting entries. Owning US compliance responsibilities including GST, payroll taxes, federal and state level corporation taxes, etc. – leveraging support from external advisers and/or the Group Head of International Financial Compliance as needed. Budgeting and forecasting. Working in close partnership with the UK-based US Country Manager to drive value add initiatives through the US business – whether through monitoring/analysing performance of ongoing jobs, implementing process efficiencies or other. Drive the continuous improvement of end-to-end Finance processes in US. Supporting the Group Head of Treasury in managing US working capital requirements (working with centralised group AR and AP functions) and production of monthly cash flow forecast updates. What we’re looking for in our Finance Manager: Strong technical accounting knowledge Proven experience of US GST, payroll compliance and federal/state level taxes; Excel and modelling NetSuite experience preferred Ability to delegate and manage the work of others Part or fully qualified accountant (CIMA preferable or ACCA) Experience in budgeting and forecasting processes If you feel you have the required skills and experience, click apply now to be considered as our Finance Manager – we’d love to hear from you!