Finance Manager

  • Location
    City Of London, Greater London
  • Category
    Accountancy (Qualified) - Management Accountant
  • Contract Type
    Contractor
  • Salary
    £ 60000 - £ 75000 / Hourly
  • OrganizationType
    Home/Office

Are you an expert in Finance Management and able to take lead?


Want to work for a dynamic consultancy firm?


This company is offering flexible working, a competitive salary and more!!


This fantastic company requires an Interim Finance Manager to take overall accountability for full finance function for the business. This role is to ensure the credit control and cash-flow management processes meet high standards to the business requirements and to provide insight to the Directors / Shareholders to improve the success of the business.


The aim of our team is to deliver proactively on time, accurately and professionally. The Finance Manager will ensure the processes are reviewed regularly and designed to maximise automation on the system and ensure that best practice standards are met.


The Finance Manager will manage a team of 2-3 and will work closely with the Operations Manager and Finance Director to ensure there is an accomplished strategy plan in place at all times.


JOB TITLE: Interim Finance Manager


COMPANY: Consultancy Firm


CONTRACT: Temporary


START: ASAP


LOCATION: City of London


SALARY: £350 - £450 per day


CULTURE: Passionate and vibrant team with excellent team morale.


DUTIES INCLUDE BUT ARE NOT EXCLUSIVE TO:



  • Responsible for the day to day management of the outputs of the finance function, including maintaining ledgers, ensuring month end reconciliations are performed and all financial transactions are properly recorded, filed and reported.

  • Responsible for the development of best in class controls and ensuring these are maintained to enable accurate and timely reporting.

  • Producing management reporting packs to ensure management and the Board of Directors receive timely, accurate and insightful financial information.

  • Assist in business planning, forecasting and budgeting including liaison with shareholders within the business.

  • Producing cash flow forecasts including the management and monitoring of cash flow forecasts

  • Assisting with Technical Accounting - ensure business accounting policies are up to the latest industry practice and technical requirements

  • Assisting with the preparation of statutory accounts and liaising with the external auditors throughout the audit process.

  • Assisting with Payroll

  • Understanding of PAYE, Benefits and PAYE Settlements

  • VAT compliance and preparation of quarterly VAT returns

  • Corporation tax compliance - working with advisers

  • Supporting the wider finance team and senior management with ad-hoc tasks.


SKILLS, EXPERIENCE AND ATTRIBUTES REQUIRED:



  • ACA/ACCA Qualified

  • Proven strong financial reporting and reconciliations experience

  • Track record of liaising with key stakeholders to pull together timely and accurate information

  • Work with the Finance team to ensure production of timely and accurate reports

  • Strong Microsoft Excel and excellent communication skills

  • Excellent report writing

  • Technical knowledge with regards to FRS102, VAT and PAYE regulations

  • Understanding of the Partial VAT regulations and Mutual Trader Tax status is required but not essential for the role as training will be provided

Office Angels acts as an employment agency for permanent recruitment and an employment business for the supply of temporary workers. Office Angels UK is an Equal Opportunities Employer.


By applying for this role your details will be submitted to Office Angels. Our Candidate Privacy Information Statement explaining how we will use your information is available on our website.

To speak to a recruitment expert please contact Jessica Phypers