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Chesterfield Poultry

Finance Manager

Chesterfield Poultry Doncaster
32 - 40 hour


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    Chesterfield Poultry

    Finance Manager

    Chesterfield Poultry Doncaster
    32 - 40 hour
    Status Open
    Apply now

    Apply on the employer's website


    What we ask

    Education

    No minimum education required

    What we offer

    Hours
    32 to 40 hours per week
    Employment type
    permanent

    Job description

    Chinese speaking Finance Manager

    Location:  Coulman Street, Thorne, Doncaster, South Yorkshire - Fully on site - no remote working

    Salary:  Negotiable, dependant on experience

    The Finance Manager is responsible for the day-to-day management of the finance function, ensuring the integrity, accuracy and timeliness of financial reporting while supporting strategic decision making across the business. The role provides financial leadership through effective budgeting, forecasting, cost control, statutory compliance and continuous improvement. Working closely with operational departments, the Finance Manager will provide commercially focused financial analysis to maximise profitability, improve efficiencies and support sustainable business growth.

    Duties:

    Financial Management

    Lead the daily finance operations and ensure accurate maintenance of the general ledger.
    Produce timely monthly accounts and prepare P&L accounts, balance sheets and cash flow forecasts.
    Maintain robust financial controls across all departments.
    Review and approve journals, reconciliations and adjustments.
    Ensure financial records comply with UK accounting standards.
    Financial Reporting

    Prepare monthly board reports and produce departmental performance reports.
    Analyse financial trends and key business drivers and present financial information to senior leadership.
    Support strategic planning with financial modelling and develop meaningful KPI dashboards.
    Budgeting & Forecasting

    Lead the annual budgeting process and prepare rolling forecasts.
    Monitor departmental expenditure and identify financial risks and opportunities.
    Challenge budget assumptions and recommend cost saving initiatives.
    Cash Flow Management

    Manage daily cash flow and forecast working capital requirements.
    Monitor debtor and creditor balances and ensure sufficient liquidity.
    Manage banking relationships and authorise supplier payment runs.
    Cost Control

    Analyse manufacturing costs and review labour costs and overheads.
    Monitor production variances and support operational efficiency initiatives.
    Identify waste reduction opportunities and recommend improvements to profitability.
    Commercial Finance: Partner with operational managers by providing:

    Margin analysis, Product costing, Customer profitability, Capital investment appraisals and ROI.
    Business case preparation and pricing support
    Compliance

    Ensure compliance with:

    UK GAAP
    Companies Act
    HMRC requirements  / VAT regulations  / Corporation Tax  / PAYE legislation
    Internal financial controls and external audit requirements
    Audit: Assist:

    Year-end audit preparation & internal audit activity
    Financial control reviews & external auditor liaison and action plan implementation
    Payroll Oversight

    Review payroll calculations and ensure statutory deductions are correct.
    Reconcile payroll journals and ensure pension compliance.
    Maintain confidentiality.
    Team Leadership

    Conduct performance reviews and develop colleagues whilst allocating workloads.
    Support succession planning and promote continuous improvement.
    Information Security & GDPR

    Handle confidential financial information securely and comply with UK GDPR.
    Protect commercially sensitive information.
    Maintain confidentiality at all times.
    Follow company cyber security procedures.
    Person Specification

    Essential Qualifications

    Qualified Accountant (ACA, ACCA, CIMA or equivalent)
    Degree in Finance, Accounting or Business (desirable)
    Essential Experience

    Finance management experience in a manufacturing environment.
    Management accounting, financial reporting alongside budget preparation.
    Cash flow forecasting, Cost accounting, Financial reporting.
    Team management.
    Audit preparation.
    ERP systems.
    Advanced Excel
    Desirable Experience

    Food manufacturing.
    SAP, Microsoft Dynamics or Sage.
    Continuous Improvement.
    Project accounting.
    Capital expenditure planning.
    Must be authorised to work in the UK. 

    To Apply

    If you feel you are a suitable candidate and would like to work for Chesterfield Poultry, please do not hesitate to apply
    Apply now

    Apply on the employer's website

    Apply now

    Apply on the employer's website


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