Ce poste vient d'être pourvu, mais il y a plus de Finance & Comptabilité offres d'emploi à Compass UK
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Finance Manager

Compass UK

Publiée

Finance Manager

Description du poste



What we'll give:

Finance Manager

46-50k Basic

12 Month contract

Remote/office working (Office London based)

Laptop provided

What you'll be doing:

Levy UK have partnered with events and festival bar experts - Peppermint! Due to this growing partnership, Peppermint are on the look out for a fantastic Finance Manager!

Purpose of Finance Manager:

Maternity cover for Finance Manager.  Working for a vibrant events company, we are seeking a dynamic Finance Manager to take accountability of defined events, working collaboratively with the project teams to manage project spend and managing accounts payable & receivable processes.  Working closely with the Financial Controller and the Directors to provide accurate and timely data. 

Peppermint provide high-performance festival bars and event solutions to the world’s best entertainment businesses and consumer brands. Our core business is operating festival bars, event bars, festival brand activation and conjoined retail-led F & B solutions to the UK’s best sports events, festivals and outdoor events.

Key Accountabilities of Finance Manager:

  • Producing pre-event budgets/projections for the Directors
  • Reconcile card and cash takings to accurately report and recognise revenue
  • Challenging overspends and owning the budget from a Finance perspective
  • Ensuring PO’s have been raised and approved for all committed costs
  • Liaising with project managers and stock controllers to ensure correct and timely client reporting
  • Working with PM’s to reconcile project against budget and report on variances
  • Management of month end closedown ensuring balance sheet, overhead and project postings are complete within deadlines
  • Fixed asset register management
  • Various month end journals
  • Creation of monthly board pack for directors
  • Present at monthly board meeting
  • Assist in preparing the company annual budget and reforecasts / rolling forecast
  • Preparation of rolling cashflow forecast
  • Balance Sheet reconciliation and review
  • Assist with statutory accounts and year end audit
  • File company quarterly VAT Returns
  • Accounts payable & receivable team management
  • Oversee weekly payment runs
  • Assist the Financial Director in any other ad hoc projects



Détails

Contrat
Temps plein
Localisation
England, Royaume-Uni
Département
Finance & Comptabilité
Début
Dès que possible
Durée du contrat
Indéfini

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