Financial Controller

Job details
  • Job Ref: FC1311
  • Job Type: Permanent
  • Location: Basildon
  • Salary: £65,000 - £75,000 pa

Armstrong Knight are delighted to have partnered with one of the UK's leading IT Support companies ! Due to significant growth within their business, our client is now looking to appoint an experienced financial controller to support the company.

Financial Controller -

You will be responsible for owning the beginning-to-end finance processing which includes client billing, producing the monthly accounting reports and approving weekly payment runs.

You will demonstrate commercial rigour; always ensuring that accurate accounting treatment is always followed and that the company adheres to financial laws and regulations.

Adding value to the company via relevant financial analysis and reporting will be key to the success of this role. You will be an integral member of the finance team and your strong financial knowledge, professionalism and commitment are essential to help motivate and develop junior members of the team.

The role will be responsible for the financial processing and reporting of the UK operations.

Key Role Responsibilities:

  • Monthly and annual management reporting of results to group level
  • Variance Analysis to budget/forecast
  • Contribute to decisions regarding financial strategy
  • Keep up with industry updates and clients
  • Manage cash flow by tracking transactions and regularly reviewing internal reports
  • Motivate and lead finance team members by clarifying roles and providing helpful feedback
  • Suggest updates and improvements for accounting systems
  • Establish and implement financial reporting systems to comply with government regulations and legislation
  • Collaborate with auditors to ensure proper compliance with all regulations
  • Compilation of company budgets, quarterly forecasting and 3-year business plan. Financial modelling in excel (P&L, BS and cash flow)
  • Oversight of tax matters including international transfer pricing, tax workings and year-end computation review
  • Managing payroll and the company benefit schemes
  • Rebate calculations and reconciliations
  • Monthly Balance Sheet reconciliations
  • Bank reconciliations
  • Monthly payroll processing
  • HMRC reporting including VAT via MTD, p11Ds, etc.
  • Managing, supporting & mentoring the Finance Assistant
  • Responding to audit queries

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