Finance Manager

Job Description

VANRATH are delighted to be working closely with a fantastic Healthcare company in helping recruit for a Finance Manager

Reporting into the CFO, you will be responsible for the company's tax strategy, treasury policy and risk management.

What's in it for you?
  • Excellent salary
  • Bonus
  • 3&2 hybrid
  • Free parking
  • Superb career progression
  • Great benefits package on application
About you:
  • Qualified Accountant
  • Post-qualification experience at financial accountant level in a manufacturing environment, or an acceptable equivalent.
  • Demonstrated experience working with clients with manufacturing and international operations and hands-on experience in preparing consolidated financial statements and reports in line with FRS 102 or IFRS.
  • Professional experience in preparing or reviewing tax computations, tax returns and a knowledge of deferred taxation.
  • Knowledge of PowerPoint, Excel, Word.
  • Successful track record in a busy working environment in the delivery of relevant, timely and accurate financial information including daily, weekly, monthly and quarterly accounts information and year-end financial accounts.
What you'll do:
Taxation
  • Formulating and implementing the group taxation strategy.
  • Liaising with finance managers, tax auditors and consultants on the preparation of the annual corporation tax computations and deferred tax schedules for the holding company and all subsidiaries.
  • Liaising with finance managers, tax auditors and consultants and HMRC (UK) and relevant tax authorities
  • Coordination of the preparation of corporation tax and other tax returns for all Group companies
  • Direction of the Group's Patent Box and R&D Tax Credit regimes
  • Direction of the Group's Transfer Pricing policy
Treasury
  • Own the Group Treasury policy in the finance team.
  • Managing the Group's treasury function in accordance with Treasury Policy
  • Directing the day-to-day banking relationships and the cash flow of the Group ensuring the Group's cash flow objectives are met.
  • Coordinating and managing the Group's currency policies in accordance with Treasury Policy.
  • Managing deposit accounts within the Group according to the Treasury Policy.
Enterprise Risk Management
  • Lead the Enterprise Risk Management process
  • Manage the Enterprise Risk management process for the group. Business partnering with the risk owners, integrating new companies into the framework, formal implementation of an operational risk register and a regular update of the risk registers.
For further information on this vacancy, or any other Finance job in Northern Ireland, apply via the link below or contact ADRIAN HARRISON for a confidential chat today.