Title: Finance Reporting Manager
Reporting to: Financial Controller
Working hours: Monday-Friday, 10:00am to 6:00pm
Benefits: Private Healthcare / Pension scheme / Bonus scheme
Role Overview
This is a key role within the White Cube Finance team taking responsibility for core financial reporting activities, including supporting month-end close deliverables, statutory reporting, audit processes and improving financial controls.
Key Responsibilities
Financial Control & Reporting
- Own key elements of the month-end close process
- Ensure balance sheet integrity through reconciliations and review of journals
Prepare and review supporting schedules for management accounts
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- Support global statutory audits and reporting
- Support the preparation of statutory consolidation and reconciliation to management accounts
- Assist with the implementation and monitoring of accounting policies and procedures
Coordinate audit request and prepare supporting schedule for external auditors globally
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- Assist with working capital and cash flow reporting & forecasting
- Support cash flow visibility and forecasting
- Monitor creditor/debtor balances, identifying risks on a timely basis
Controls and Compliance
- Own quarterly VAT submissions across all entities ensuring accuracy and compliance
- Support global tax submissions across all entities
- Strengthen financial controls across the end-to-end finance cycle
Finance Transformation Support
- Support ongoing finance transformation initiatives
- Ensure processes align with new system capabilities and controls
- Act as a key finance contact for process design and implementation
Business Partnering
- Work with internal teams to resolve financial queries as required
- Provide clear and timely communication on finance processes and outputs
Skills & Experience
Essential
- Qualified / part-qualified accountant (ACA / ACCA / CIMA or equivalent experience)
- Experience in a similar Finance Manager / Senior Accountant role
- Experience working with high-volume transactional data
- Strong Excel and finance systems capability(preferably Sage Intaact)
- Ability to perform detailed balance sheet reconciliations, including investigation and resolution of reconciling items
Desirable
- Experience in a multi-entity / multi-currency environment
- Exposure to audit processes and supporting documentation
- Experience improving or implementing finance processes
Key Competencies
- Strong attention to detail and ownership mindset
- Ability to prioritise and manage multiple deadlines
- Clear, confident and proactive communication
- Forward thinking and improvement-focused
- Ability to balance attention to detail with strong understanding of broader Company objectives
This application will close on Tuesday 23rd June at 5:30pm and we reserve the right to close this vacancy early if we receive sufficient applications.
(Please note we are currently unable to offer sponsorship, nor guarantee future sponsorship opportunities, for this role).