My client is a small but growing business which is part of a larger group. With an impressive customer base and international span, this company operates within the energy and infrastructure support sector, providing specialised services and solutions that enable large-scale industrial and resource-based operations to function efficiently. Its’ core focus is on field-based service delivery, often supporting projects in challenging or remote environments.
About the Opportunity
The Finance Manager will play a pivotal role in ensuring the accuracy, integrity, and compliance of the company’s accounting and financial operations. This position is responsible for managing the accounting team, preparing financial reports, and supporting strategic decision-making through accurate financial data and analysis. As a key member of the team, the Finance Manager will collaborate with various departments to maintain efficient financial processes and contribute to the overall success the business.
Key Responsibilities:
- Generate and analyse monthly and quarterly financial reports and statements in accordance with IFRS standards, providing actionable recommendations to management
- Act as the custodian of all financial data, ensuring integrity and alignment with the company’s core business
- Develop and document Standard Operating Procedures (SOPs) for all accounting-related tasks and activities
- Enforce accounting policies and processes to enhance operational efficiency and ensure compliance
- Design, implement and monitor robust control procedures across all aspects of the financial operation to ensure compliance
- Provide expertise in budgeting and forecasting processes, supporting the company’s financial planning and performance objectives
- Offer strategic financial support to improve performance and profitability across all areas of the business
- Identify and implement efficiency improvements to enhance overall business performance
- Translate financial data into clear, actionable insights for non-finance stakeholders
- Manage the Treasury function in an efficient and accurate manner, prepare cash flow forecasts for the next 12 months
- Coordinate and serve as the primary point of contact for annual local audit reviews and tax audits, ensuring timely and accurate compliance with regulatory requirements
- Lead and support the team who oversee and manage all financial operations, including preparing payments, invoices, receipts, and bank reconciliations, ensuring compliance with company policies and procedures
Background and Experience:
- Qualified Accountant with prior experience leading all aspects of the finance function of an SME
- Strong systems skills
- Knowledge of local accounting standards and IFRS
- Leadership/team management skills
- Excellent communication and collaboration ability
- Ability to prioritise in a fast paced environment
- Continuous improvement mindset
What’s on Offer
- A fantastic team and great office location
- 33 Days Holiday
- Discretionary Bonus
- A range of other benefits such as PMI, Life Insurance, Death in Service
Next Steps:
- If you are interested in this contract role, please apply here with a full CV. For a confidential discussion or more information, please reach out to Jane Grant at Cooper Parry Finance Recruitment on 07849 087 947 or jane.grant@cooperparry.com