Description
Sopra Steria Recruitments is looking for Senior Financial Control Manager for one of its Direct Client.
- Job Title: Senior Financial Control Manager
- The Maximum Daily Pay Rate £380.00
- Location: London, PLEASE NOTE Candidates will be required to work across site ie Lower Marsh, Clifton House, Kent House and Phoenix Court
- IR35 Status: In Scope
- Contract Length: Around 6 months
Job Spec:
- Setting and managing budgets within the nominated cluster, for the services and teams that report into the cluster.
- Ensure that accounting records are maintained to high standards to enable the requirements of governance, internal and external audit requirements and completion of monthly reconciliations
- Provide financial and information support advice and guidance to directors and budget holders. This will often include analysis of highly complex and sensitive data sets and material.
- Responsible for completion of monthly reconciliations with accuracy and to timeframe
- Assist the Assistant Director in providing input into the Operating Plans and other initiatives in respect of accounting treatments, and cash implications
- Assist with the POD teams in the production of all Short, Medium and Long Term planning Documents.
- Maintenance and development all relevant policies, procedures and practices, working with colleagues within the function, and across other functions where required, to establish a consistent and effective approach.
- Provide advice on VAT and tax, including communication as required to financial and non-financial customers.
- Ensure accounting for VAT transactions is carried out correctly and that claims are made in an accurate and timely manner
- Manage the agreement of balances process on a quarterly and annual basis
- Effectively lead, manage and participate in teams within a Matrix structure, where there are multiple points of accountability. The
Education/Qualifications
- CCAB or CIMA accreditation or equivalent level of experience
- Educated to masters level or equivalent level of experience
Experience
- Experience of processes related to procurement, and accounts payable and receivable, and their improvementExperience of general ledger maintenance, its on-going review and improvement, and the development of effective systems-based management reports.
- Experience of supervising/managing staff
- Experience of using computerised financial systems, across a range of responsibilities
- Experience of treasury management - maintaining positive cash flow position and ensuring good banking relationships