Summary: The Finance Manager role involves overseeing and managing financial operations for a smart technology company in the energy sector. This position is responsible for ensuring the integrity of financial information and compliance with regulations while supporting strategic decision-making. The role is a 2-month contract based north of Leeds, requiring two days per week in the office. There is no line management responsibility associated with this position.
Key Responsibilities:
- You will prepare accurate monthly, quarterly and annual financial statements.
- Ensure the accuracy and integrity of financial records, which includes balancing all balance sheet ledgers from Sage, maintaining the fixed asset register, accruals and prepayments.
- Oversee monthly wages checks, comparing reports against month-on-month expectations and liaising with the payroll bureau to communicate issues for resolution.
- Lead the weekly maintenance and refinement of a detailed Cash Flow Forecast, integrating data points such as sales forecasts, production schedules, bank reconciliations, supplier payment terms, and invoice factoring calculations.
Key Skills:
- Qualified Accountant (ACA, ACCA) or equivalent certification.
- 4+ years of progressive accounting experience in hands on roles.
- Nice to have: Strong knowledge of supply chain management and product pricing/costing and experience optimizing recurring revenue metrics and subscription/data-based revenue models.
Salary (Rate): undetermined
City: Leeds
Country: UK
Working Arrangements: hybrid
IR35 Status: undetermined
Seniority Level: undetermined
Industry: Other
Finance Manager
North of Leeds - 2 days per week in the office
Smart Technology
2 month contract
We are partnered with a smart technology company driving innovation within the energy sector, creating solutions across software, hardware and cloud services. The Finance Manager will assist with overseeing and managing the financial operations of covering its global footprint. This role ensures the integrity of financial information, compliance with regulations and support strategic decision-making to drive growth and profitability.
No line management
Key responsibilities:
- You will prepare accurate monthly, quarterly and annual financial statements.
- Ensure the accuracy and integrity of financial records, which includes balancing all balance sheet ledgers from Sage, maintaining the fixed asset register, accruals and prepayments.
- Oversee monthly wages checks, comparing reports against month-on-month expectations and liaising with the payroll bureau to communicate issues for resolution.
- Lead the weekly maintenance and refinement of a detailed Cash Flow Forecast, integrating data points such as sales forecasts, production schedules, bank reconciliations, supplier payment terms, and invoice factoring calculations.
Essential experience:
- Qualified Accountant (ACA, ACCA) or equivalent certification.
- 4+ years of progressive accounting experience in hands on roles.
- Nice to have : Strong knowledge of supply chain management and product pricing/costing and experience optimizing recurring revenue metrics and subscription/data-based revenue models.