Finance Manager
Posted on May 15, 2026 by CV-Library
Stoke-on-Trent, Staffordshire, United Kingdom
Accountancy
Immediate Start
Annual Salary
Contract/Project
We are seeking a high-calibre Finance Manager for a contract position leading the financial operations of our client's business. In this role, you will act as a strategic partner across all financial aspects of the company, providing expert guidance to senior management to ensure sustained financial health and strict compliance with regulatory requirements.
Key Responsibilities
Develop and implement financial policies and procedures designed to drive the company's growth and overall profitability.
Prepare and present comprehensive financial reports, forecasts, budgets, and statements to senior management and group stakeholders.
Analyse financial data and market trends to provide actionable insights for improving efficiency and performance.
Manage cash flow and liquidity forecasting in collaboration with group treasury functions to ensure optimal resource allocation.
Oversee the preparation of tax returns and regulatory filings, ensuring strict adherence to accounting standards with support from specialist group functions.
Act as the primary point of contact for internal auditors, tax advisors, and relevant regulatory authorities.
Provide mentorship to the finance team, fostering a culture of professional development, accountability, and continuous improvement.
Maintain a robust internal controls environment to mitigate risk and ensure data integrity.
Develop credit control policies to minimise bad debt risk, reduce debtor days, and optimise cash collection efficiency.Requirements
A professional accounting qualification is essential (e.g., ACCA, CIMA, or ACA).
At least 3+ years of proven experience in a financial management role, ideally within an SME environment.
Strong expertise in UK financial principles, accounting standards, taxation, and regulatory compliance.
Advanced Excel skills and the ability to interpret complex data to make strategic recommendations.On applying you agree to receive finance specific content from our Randstad Finance & Accounting community
Key Responsibilities
Develop and implement financial policies and procedures designed to drive the company's growth and overall profitability.
Prepare and present comprehensive financial reports, forecasts, budgets, and statements to senior management and group stakeholders.
Analyse financial data and market trends to provide actionable insights for improving efficiency and performance.
Manage cash flow and liquidity forecasting in collaboration with group treasury functions to ensure optimal resource allocation.
Oversee the preparation of tax returns and regulatory filings, ensuring strict adherence to accounting standards with support from specialist group functions.
Act as the primary point of contact for internal auditors, tax advisors, and relevant regulatory authorities.
Provide mentorship to the finance team, fostering a culture of professional development, accountability, and continuous improvement.
Maintain a robust internal controls environment to mitigate risk and ensure data integrity.
Develop credit control policies to minimise bad debt risk, reduce debtor days, and optimise cash collection efficiency.Requirements
A professional accounting qualification is essential (e.g., ACCA, CIMA, or ACA).
At least 3+ years of proven experience in a financial management role, ideally within an SME environment.
Strong expertise in UK financial principles, accounting standards, taxation, and regulatory compliance.
Advanced Excel skills and the ability to interpret complex data to make strategic recommendations.On applying you agree to receive finance specific content from our Randstad Finance & Accounting community
Reference: 225119708
https://jobs.careeraddict.com/post/113241244
Finance Manager
Posted on May 15, 2026 by CV-Library
Stoke-on-Trent, Staffordshire, United Kingdom
Accountancy
Immediate Start
Annual Salary
Contract/Project
We are seeking a high-calibre Finance Manager for a contract position leading the financial operations of our client's business. In this role, you will act as a strategic partner across all financial aspects of the company, providing expert guidance to senior management to ensure sustained financial health and strict compliance with regulatory requirements.
Key Responsibilities
Develop and implement financial policies and procedures designed to drive the company's growth and overall profitability.
Prepare and present comprehensive financial reports, forecasts, budgets, and statements to senior management and group stakeholders.
Analyse financial data and market trends to provide actionable insights for improving efficiency and performance.
Manage cash flow and liquidity forecasting in collaboration with group treasury functions to ensure optimal resource allocation.
Oversee the preparation of tax returns and regulatory filings, ensuring strict adherence to accounting standards with support from specialist group functions.
Act as the primary point of contact for internal auditors, tax advisors, and relevant regulatory authorities.
Provide mentorship to the finance team, fostering a culture of professional development, accountability, and continuous improvement.
Maintain a robust internal controls environment to mitigate risk and ensure data integrity.
Develop credit control policies to minimise bad debt risk, reduce debtor days, and optimise cash collection efficiency.Requirements
A professional accounting qualification is essential (e.g., ACCA, CIMA, or ACA).
At least 3+ years of proven experience in a financial management role, ideally within an SME environment.
Strong expertise in UK financial principles, accounting standards, taxation, and regulatory compliance.
Advanced Excel skills and the ability to interpret complex data to make strategic recommendations.On applying you agree to receive finance specific content from our Randstad Finance & Accounting community
Key Responsibilities
Develop and implement financial policies and procedures designed to drive the company's growth and overall profitability.
Prepare and present comprehensive financial reports, forecasts, budgets, and statements to senior management and group stakeholders.
Analyse financial data and market trends to provide actionable insights for improving efficiency and performance.
Manage cash flow and liquidity forecasting in collaboration with group treasury functions to ensure optimal resource allocation.
Oversee the preparation of tax returns and regulatory filings, ensuring strict adherence to accounting standards with support from specialist group functions.
Act as the primary point of contact for internal auditors, tax advisors, and relevant regulatory authorities.
Provide mentorship to the finance team, fostering a culture of professional development, accountability, and continuous improvement.
Maintain a robust internal controls environment to mitigate risk and ensure data integrity.
Develop credit control policies to minimise bad debt risk, reduce debtor days, and optimise cash collection efficiency.Requirements
A professional accounting qualification is essential (e.g., ACCA, CIMA, or ACA).
At least 3+ years of proven experience in a financial management role, ideally within an SME environment.
Strong expertise in UK financial principles, accounting standards, taxation, and regulatory compliance.
Advanced Excel skills and the ability to interpret complex data to make strategic recommendations.On applying you agree to receive finance specific content from our Randstad Finance & Accounting community
Reference: 225119708
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