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Verrus Group

Fractional Financial Controller

Verrus Group Leeds
0 - 32 hour


Show Recently closed jobs

    Verrus Group

    Fractional Financial Controller

    Verrus Group Leeds
    0 - 32 hour
    Status Open
    Apply now

    Apply on the employer's website


    What we ask

    Education

    No minimum education required

    What we offer

    Hours
    0 to 32 hours per week

    Job description

    This is an exciting opportunity to oversee the finances of an established and expanding executive recruitment business based in Leeds.

    Operating across a range of established and emerging sectors, Verrus have a proven track record for proactively delivering game-changing senior professionals to a predominantly international client base that ranges from rapid growth start-ups to established corporations.

    Working closely alongside the company’s two founding Directors, the successful candidate will assume responsibility for:

    * Maintaining the company’s financial records on Sage

    * Preparing accurate monthly management information for the Directors

    * Implementing and maintaining robust internal controls appropriate for an expanding company

    * Managing and reconciling sales and purchase ledgers and investigating discrepancies

    * Preparing & submitting quarterly VAT returns

    * Preparing monthly payroll, including commission/bonus structures

    * Ensuring compliance with HMRC

    * Maintaining & updating fixed asset records

    * Producing budgets and forecasts and measuring performance against these

    * Managing cash flow

    * Liaise with the company’s external accountants on statutory accounts and corporation tax

    Applicants will be expected to demonstrate:

    * Proven experience of managing the finances of an SME business.

    * Strong management accounting experience.

    * Ability to manage multiple financial priorities while maintaining a high level of accuracy and attention to detail.

    * Sound understanding of UK accounting principles, VAT regulations, payroll processes, and HMRC compliance requirements.

    * Experience of producing budgets, forecasts, and cash flow projections

    * Strong reconciliation and problem-solving skills, with the ability to identify, investigate, and resolve financial discrepancies.

    * Proficiency in Sage and Microsoft Excel, including the ability to analyse and present financial data effectively
    Apply now

    Apply on the employer's website

    Apply now

    Apply on the employer's website


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