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Senior Financial Accountant

Senior Financial Accountant, Printing Industry, West London, cGBP65k + bonus
We have an excellent opportunity for a Senior Financial Accountant to join a global leader within the Printing industry. You will play a central role in the finance team with a focus on commercial and legal support for the organisation as well as all statutory and tax reporting within the UK and ROI. You will be a true leader, managing a team of two and looking for an opportunity where you can lead change.
Responsibilities:
· Overall responsibility for all company finances for UK and ROI
· Maintain accounting records according to group policies and procedures
· Ensure integrity and accuracy of all financial systems, statements and reports
· Manage risk control
· Responsible for managing annual audit and production of annual financial statements under FRS101 framework
· Ensure all year end accounting processes are executed in a timely and accurately manner
· Manage staffing of General Ledger and Accounts Payable (Based locally and in Shared Service Centre)
· Full responsibility for all payroll processes in ROI and payment processing in UK
· Ensure all payroll taxation is compliant with HMRC requirements
· Pension reporting responsibility for both statutory, group and individuals, with working knowledge of IAS19 & IAS34.
· Ensure all company taxation is compliant with HMRC requirements
· Ensure all returns are submitted correctly and accurately as per HMRC requirements
· Ensure tax status remains Tax Compliant at all times
· VAT overall responsibility ensuring data integrity, compliance and best practice
· Ensure all statutory company documents including Annual Accounts and Office for National Statistics returns are up to date for both the legal entity and the Pension scheme and strictly maintained according to the Companies Act in each country s requirements
· Responsible for all local banking and cash management systems, ensuring proper internal controls remain in place and all UK and ROI compliance requirements are met.
· Accurate cash flow reporting to group treasury
· Responsible for the budget and all costs associated with Finance.
· Management of all local company assets and liabilities according to budgets and optimisation plans
· Monitor and approve all CAPEX requests and maintain in line with annual budgets
· Monitor, manage and approve all accruals and provisions