Overview
You join the UK subsidiary of a leading construction machinery group during a phase of scaling its direct operations. You will own day-to-day finance tasks and support UK and HQ reporting, enabling accurate financial visibility across the business. You will engage with Sales, Procurement, Logistics, Operations and HR to drive process improvements and cost control. This role offers international exposure and chances to shape finance processes in a fast-growing environment.
Responsibilities
- Maintain accurate financial records and support P&L, balance sheet, cash flow and management reporting for UK management and Headquarters
- Manage daily finance operations: bank reconciliations, AP/AR, supplier invoices, payments and employee expenses
- Support month-end and year-end closing, including journals, accruals, reconciliations and schedules
- Assist UK tax and statutory compliance including VAT with external accountants and advisers
- Contribute to budgets, forecasts and cost monitoring, flag variances and identify cost efficiencies
- Prepare audit documentation, liaise with auditors and strengthen internal controls and finance processes
- Develop and improve finance processes and internal controls, ensuring proper approvals and risk management
- Collaborate with Sales, HR, Procurement, Logistics, Operations and Headquarters on reporting and finance-related projects
Key requirements
- Degree in Accounting or Finance
- ACCA (qualified or part-qualified) is an advantage
- Min 3 years post-grad experience in UK finance or accounting (bookkeeping, reconciliations, month-end)
- Working knowledge of UK accounting and tax requirements including VAT
- Experience with external accountants, tax advisers and auditors
- Experience in an international group subsidiary with reporting to foreign HQ is a plus
- Strong Excel skills and experience with an ERP or accounting system
- Strong attention to detail, numerical/analytical skills and discretion with sensitive information
- collaborative
- attention to detail
- confidentiality
- UK accounting and tax compliance (VAT)
- ERP/accounting system
- Excel advanced
Finance & Accounting Specialist in Manchester employer: Antal International Network
As a leading international bank based in London, we pride ourselves on fostering a dynamic and inclusive work culture that prioritises employee growth and development. Our commitment to excellence is reflected in our competitive salary packages and comprehensive benefits, ensuring that our team members are well-supported in their professional journeys. Joining us as the Chief Risk Officer means becoming an integral part of our Executive Management Team, where you will have the opportunity to shape our risk strategy and contribute to the long-term success of a respected institution in the banking sector.
Contact Details:
Antal International Network Recruitment Team