A Finance Manager position, managing a team of 5 and working within a leading hospitality company based in London.
This role is a 12 month FTC with possibility to become permanent.
Offering 3 days in office, 2 days WFH.
- Responsibilities:
- Overall responsibility for delivery of month end closing reports and
- supporting Group consolidation - ensuring financial reports are prepared in a
- timely and accurate manner.
- Specific ownership of closing P&Ls for Central Overheads and communicating
- performance vs Budget to Head of Department.
- Driving clarity of reporting of spend on CAPEX projects. Ensuring that finance
- CAPEX team address operational colleague questions and issues.
- Work closely with local property and regional team to ensure that all financial
- transactions and records are in accordance with applicable local accounting
- standards and requirements.
- Ensure Group accounting policies and procedures are complied with at all
- times.
- Responsible for monthly performance reporting and provide suitable financial
- information to enable senior management to make sound business decisions.
- Business partner, review and advise on all operating and capital budgets and
- business plans, and ensure soundness of financial forecasts, plans and
- assumptions.
- Provide overview of controls around bi-monthly and adhoc bank payments.
- Responsible for cashflow forecasting, and central cost centre accounting,
- budgeting and forecasting.
- Manage and deliver on all compliance requirements e.g. VAT returns and tax
- filing, insurance renewal and cover, ONS questionaires.
- Support on external and internal audit process for a timely completion of the
- audit and implementation of recommendations.
- Review and approve payrolls and related payroll taxes.
- Build relationships and work with various internal and external stakeholders
- including landlords, insurance brokers, banks etc.
- Responsible for integrity of reconciliation for various systems including
- giftcards, payment gateways etc
- Responsible for reviewing monthly Balance Sheet reconciliations and updating
- a risks and opportunities schedule.
- Streamline the month end reporting process
- Responsible for ad-hoc financial reports as required by Senior Management
- across the business.
- Support drive automation of process including the use for PowerBI and Digital
- Workers.
- Support implementation of BEPS and CVaR reporting
- Managerial/
- supervisory role
- Manage, Coach and Advise all 5 reports of the central finance
- department including agreeing annual KPIs, providing regular performance
- feedback, performing year end appraisals.
- Ensure all finance staff are equipped with required tools to be able to fulfil
- their duties.
- Drive team member engagement.
- Active participation in the professional development of central finance team.
Robert Walters Operations Limited is an employment business and employment agency and welcomes applications from all candidates