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Manager of Financial Reporting

2 months ago


Birchington, Kent, United Kingdom Cobb & Jones Full time

Position: Financial Reporting Manager
Company: Cobb & Jones
Salary: Up to £70k + Bonus

This is an exceptional opportunity for a motivated and skilled individual to become part of a rapidly growing and well-established FMCG organization in a newly formed position. This is a pivotal moment to join the company as it enjoys significant success in the UK market, offering excellent prospects for career advancement as the organization grows both organically and through acquisitions.

Role Overview:
The Financial Reporting Manager position is ideally suited for someone who has trained in a professional environment and has developed robust technical accounting skills, now seeking their second career move into the corporate sector. You will report directly to the Finance Director and be an integral part of the senior finance team, gaining valuable exposure.

Key Responsibilities:

  • Preparation and submission of monthly and annual reporting data to the group.
  • Ownership of the monthly consolidation process, including intercompany reconciliations. Preparation of annual statutory accounts and coordination with the Financial Controller and external auditors to facilitate the audit process.
  • Ensure compliance with all statutory tax reporting requirements, ensuring submissions are accurate and payments are made timely. This includes corporation tax, VAT (oversight and submission), payroll taxes, plastic packaging tax, and duties.
  • Collaborate with external tax advisors in the preparation of annual Corporation tax computations, reviewing and approving them before submission to tax authorities.
  • Work with external consultants to manage the site R&D Expenditure Claims process.
  • Compile all other statutory reporting requirements, such as payment practices, EPR, and National Statistics.
  • Maintain an up-to-date understanding of current and future financial and accounting regulations to ensure ongoing compliance.
  • Administer treasury management, including banking systems, cash flow forecasting, cash deposits, and foreign currency exposure.
  • Continuously review existing processes and systems, recommending areas for enhancement.
  • Contribute to ad hoc financial projects as required as part of the overall finance function.

Required Skills and Experience:

  • Proficient in PC applications with intermediate to advanced knowledge of Microsoft Excel (including Pivot Tables, Power Query, and XLOOKUP), Microsoft Word, and ERP systems.
  • Strong technical understanding of UK tax and statutory reporting obligations.
  • Experience in reporting under UK GAAP (FRS102).
  • Excellent analytical and numerical abilities.
  • Meticulous attention to detail.
  • Outstanding communication skills, capable of presenting information clearly and concisely.
  • Able to work independently as well as collaboratively within a busy team.
  • Experience in managing deadlines with the ability to prioritize effectively.