Finance Manager - Hybrid
hace 4 días
Sheffield
This role oversees accurate financial reporting, forecasting and insight that supports a busy customer-focused operation. You'll partner with senior leaders, manage key financial processes and ensure strong governance and compliance across the business. Client Details Our client is a major UK service-led organisation operating at scale, supporting millions of customers each year across multiple business units. With a modern Sheffield HQ and a strong emphasis on continuous improvement, they offer a collaborative culture, excellent internal networks and career pathways across finance and operations. Description • Produce accurate monthly management accounts, budgets and group-level reporting, • Provide analysis, insight and commentary to support business decisions, • Manage balance sheet integrity and associated reconciliations, • Own and maintain financial governance processes and key documentation, • Monitor cashflow and ensure required funds are available, • Oversee financial relationships across AP, AR, Banking & Treasury, • Support tax reporting (e.g. PSA, P11d) and liaise with Group Tax, • Ensure compliance across procurement, budgeting and regulatory requirements, • Prepare performance reports, customer trend analysis and business planning outputs, • A qualified (or strong part-qualified) accountant with post-qualification experience, • Commercially minded with excellent analytical and problem-solving skills, • Confident communicating with senior stakeholders and contributing at management level, • Experienced in financial systems, forecasting and governance, • Comfortable working in a fast-paced, changing environment, • Able to coach, influence and support colleagues across the business, • Salary £40,000-£50,000, • Modern Sheffield city centre offices, • Opportunities to progress within a large, multi-site organisation, • Exposure to senior stakeholders and group-level reporting, • Varied, impactful role with scope to improve processes and add real value