Corporate Tax Manager at a Big 4 firm in London or Glasgow. Join a team of 25 specialists working with institutional investors and managers. This team is part of the Investment Management & Reporting Team of 146 people in the UK. This role consists of supporting UK/International traditional funds on their compliance and reporting obligations, as well as some ad-hoc advisory pieces. Benefits Hybrid working - 3 days in office Cash allowance (Manager and above) Generous holiday package Private medical insurance Life assurance Responsibilities and Duties As a Manager, you will be working alongside a growing team delivering compliance and some advisory services to clients. Completion of investor tax reporting Handling various advisory projects related to investor reporting on an ad hoc basis. Ensuring strict adherence to all relevant risk procedures during engagements, while also taking financial responsibility for these engagements. Contributing to client events at both the account level and within the broader team context. Requirements Candidates will ideally need to be ACA, ACCA qualified (or equivalent) current or past experience in practice. CTA is not so relevant. Those in Audit will find this a suitable transition into Tax. A strong desire and motivation to progress within the financial services sector. Proficiency in managing a portfolio of clients and projects, along with overseeing junior staff. Ability to work closely with clients, integrating practical and commercial insights into technical tasks. Knowledge of UK investor tax reporting experience gained from an in-house role within a financial institution or from an accountancy/legal/advisory firm is desirable. Knowledge of typical fund structures and the investor reporting implications associated is desirable. If you're interested in exploring this opportunity further, please apply directly or drop me an email with your full CV to: If this job isn't quite right for you, but you know someone who would be great at this role, why not take advantage of our referral scheme? We offer £200 in shopping vouchers for every referred candidate who we place in a role. Terms & Conditions Apply.
Jan 11, 2026
Full time
Corporate Tax Manager at a Big 4 firm in London or Glasgow. Join a team of 25 specialists working with institutional investors and managers. This team is part of the Investment Management & Reporting Team of 146 people in the UK. This role consists of supporting UK/International traditional funds on their compliance and reporting obligations, as well as some ad-hoc advisory pieces. Benefits Hybrid working - 3 days in office Cash allowance (Manager and above) Generous holiday package Private medical insurance Life assurance Responsibilities and Duties As a Manager, you will be working alongside a growing team delivering compliance and some advisory services to clients. Completion of investor tax reporting Handling various advisory projects related to investor reporting on an ad hoc basis. Ensuring strict adherence to all relevant risk procedures during engagements, while also taking financial responsibility for these engagements. Contributing to client events at both the account level and within the broader team context. Requirements Candidates will ideally need to be ACA, ACCA qualified (or equivalent) current or past experience in practice. CTA is not so relevant. Those in Audit will find this a suitable transition into Tax. A strong desire and motivation to progress within the financial services sector. Proficiency in managing a portfolio of clients and projects, along with overseeing junior staff. Ability to work closely with clients, integrating practical and commercial insights into technical tasks. Knowledge of UK investor tax reporting experience gained from an in-house role within a financial institution or from an accountancy/legal/advisory firm is desirable. Knowledge of typical fund structures and the investor reporting implications associated is desirable. If you're interested in exploring this opportunity further, please apply directly or drop me an email with your full CV to: If this job isn't quite right for you, but you know someone who would be great at this role, why not take advantage of our referral scheme? We offer £200 in shopping vouchers for every referred candidate who we place in a role. Terms & Conditions Apply.
A great opportunity has arisen for a Senior Group Finance Manager to join a fast-paced, entrepreneurial company based in Maidenhead. This role offers excellent progression opportunities within a fast-paced environment. Responsibilities Support preparation of consolidated monthly management accounts and Board reporting packs. Assist with statutory accounts preparation, working with external auditors. Maintain internal controls and compliance frameworks across the Group. Support CFO in preparation of budgets, forecasts and cash flow models. Provide insightful variance analysis to drive performance and accountability across the portfolio. Assist in financial modelling for new investments and business cases. Take responsibility for day-to-day operational finance tasks where needed, ensuring smooth functioning of selected businesses within the portfolio. Build strong working relationships with outsourced finance teams and business unit leaders. Proactively identify process improvements and implement best practice across finance. Provide ad hoc analysis and decision support to the CFO and leadership team. Requirements Qualified ACA / ACCA / CIMA with 3-5 years post qualified experience. Strong foundation in accounting, audit, or financial reporting. Some exposure to FP&A, management reporting or business partnering is desirable. Experience liaising with outsourced service providers or multiple stakeholders advantageous. Strong Excel and financial modelling capability. Excellent communication skills, able to explain financial matters clearly to non-finance stakeholders. Proactive, solutions-driven, with the ability to work independently and take ownership. Organised and adaptable, comfortable working across diverse business activities. By applying you will be registered as a candidate with Marc Daniels Specialist Recruitment Limited. Our Privacy Policy is available on our website and explains how we will use your personal data.
Jan 11, 2026
Full time
A great opportunity has arisen for a Senior Group Finance Manager to join a fast-paced, entrepreneurial company based in Maidenhead. This role offers excellent progression opportunities within a fast-paced environment. Responsibilities Support preparation of consolidated monthly management accounts and Board reporting packs. Assist with statutory accounts preparation, working with external auditors. Maintain internal controls and compliance frameworks across the Group. Support CFO in preparation of budgets, forecasts and cash flow models. Provide insightful variance analysis to drive performance and accountability across the portfolio. Assist in financial modelling for new investments and business cases. Take responsibility for day-to-day operational finance tasks where needed, ensuring smooth functioning of selected businesses within the portfolio. Build strong working relationships with outsourced finance teams and business unit leaders. Proactively identify process improvements and implement best practice across finance. Provide ad hoc analysis and decision support to the CFO and leadership team. Requirements Qualified ACA / ACCA / CIMA with 3-5 years post qualified experience. Strong foundation in accounting, audit, or financial reporting. Some exposure to FP&A, management reporting or business partnering is desirable. Experience liaising with outsourced service providers or multiple stakeholders advantageous. Strong Excel and financial modelling capability. Excellent communication skills, able to explain financial matters clearly to non-finance stakeholders. Proactive, solutions-driven, with the ability to work independently and take ownership. Organised and adaptable, comfortable working across diverse business activities. By applying you will be registered as a candidate with Marc Daniels Specialist Recruitment Limited. Our Privacy Policy is available on our website and explains how we will use your personal data.
Amazing opportunity for a newly qualified accountant to join the FP&A Team of an International Group based in North Kent. Reporting to the FP&A Manager you will be responsible for:- Responsibilities of the FP&A Analyst:- Assist with annual budgeting and forecasting Prepare budgets and present to Stakeholders Complete budget packs with commentary Meet with Stakeholders to discuss costs and revenue A click apply for full job details
Jan 11, 2026
Full time
Amazing opportunity for a newly qualified accountant to join the FP&A Team of an International Group based in North Kent. Reporting to the FP&A Manager you will be responsible for:- Responsibilities of the FP&A Analyst:- Assist with annual budgeting and forecasting Prepare budgets and present to Stakeholders Complete budget packs with commentary Meet with Stakeholders to discuss costs and revenue A click apply for full job details
This position is posted by Jobgether on behalf of a partner company. We are currently looking for a Principal Product Manager - Payroll Fintech Connectivity in UK. This role sits at the core of a global payroll and fintech ecosystem, owning the connectivity between payroll data, invoicing, funding, and payment systems. You will lead high-impact product initiatives that enable accurate, transparent, and scalable money movement across multiple countries and currencies. Working in a highly cross functional and remote first environment, you will collaborate closely with engineering, finance, payroll operations, and payments teams. The position offers deep exposure to complex, data heavy systems and real world financial workflows. Your work will directly improve trust, visibility, and reliability across payroll and payments. This is an opportunity to shape foundational fintech capabilities that impact millions of workers globally. Accountabilities Own and evolve core payroll to payments connectivity and financial orchestration capabilities Define how payroll data is structured, exposed, and consumed for invoicing, funding, and downstream systems Lead complex fintech initiatives from problem discovery through delivery, iteration, and measurement Partner closely with engineering on data models, APIs, integrations, and system design decisions Collaborate with payroll operations, payments operations, and finance to incorporate real world constraints Improve visibility into payroll cost changes, adjustments, reconciliations, and variances Enable monitoring, alerting, and early warning signals for payroll and payment related issues Align multiple product and operational teams around shared priorities, trade offs, and delivery plans Communicate progress, risks, and decisions clearly to stakeholders and senior leadership Requirements Strong product management fundamentals with experience owning complex, cross functional systems Background in B2B SaaS, fintech, or highly operational, data driven productsli> Experience working with integrations, APIs, platform capabilities, or data heavy workflows Ability to reason through trade offs across product, technical, and operational constraints Excellent communication skills with confidence influencing across teams and senior stakeholders Comfort operating in fast moving, ambiguous environments with high ownership Nice to have experience in payroll, payments, invoicing, or financial systems Nice to have exposure to regulated, multi country, or compliance heavy product environments Experience operating at Staff or Lead Product Manager level is a plus Benefits Competitive compensation aligned with role, experience, and location Stock grant opportunities depending on role, employment status, and country Flexible, remote first work environment with optional coworking access Scalable benefits and perks tailored to local employment conditions Opportunity to work on globally impactful products at the intersection of payroll and fintech Inclusive culture with strong emphasis on autonomy, growth, and collaboration Why Apply Through Jobgether? We use an AI powered matching process to ensure your application is reviewed quickly, objectively, and fairly against the role's core requirements. Our system identifies the top fitting candidates, and this shortlist is then shared directly with the hiring company. The final decision and next steps (interviews, assessments) are managed by their internal team. We appreciate your interest and wish you the best! Data Privacy Notice: By submitting your application, you acknowledge that Jobgether will process your personal data to evaluate your candidacy and share relevant information with the hiring employer. This processing is based on legitimate interest and pre contractual measures under applicable data protection laws (including GDPR). You may exercise your rights (access, rectification, erasure, objection) at any time.
Jan 11, 2026
Full time
This position is posted by Jobgether on behalf of a partner company. We are currently looking for a Principal Product Manager - Payroll Fintech Connectivity in UK. This role sits at the core of a global payroll and fintech ecosystem, owning the connectivity between payroll data, invoicing, funding, and payment systems. You will lead high-impact product initiatives that enable accurate, transparent, and scalable money movement across multiple countries and currencies. Working in a highly cross functional and remote first environment, you will collaborate closely with engineering, finance, payroll operations, and payments teams. The position offers deep exposure to complex, data heavy systems and real world financial workflows. Your work will directly improve trust, visibility, and reliability across payroll and payments. This is an opportunity to shape foundational fintech capabilities that impact millions of workers globally. Accountabilities Own and evolve core payroll to payments connectivity and financial orchestration capabilities Define how payroll data is structured, exposed, and consumed for invoicing, funding, and downstream systems Lead complex fintech initiatives from problem discovery through delivery, iteration, and measurement Partner closely with engineering on data models, APIs, integrations, and system design decisions Collaborate with payroll operations, payments operations, and finance to incorporate real world constraints Improve visibility into payroll cost changes, adjustments, reconciliations, and variances Enable monitoring, alerting, and early warning signals for payroll and payment related issues Align multiple product and operational teams around shared priorities, trade offs, and delivery plans Communicate progress, risks, and decisions clearly to stakeholders and senior leadership Requirements Strong product management fundamentals with experience owning complex, cross functional systems Background in B2B SaaS, fintech, or highly operational, data driven productsli> Experience working with integrations, APIs, platform capabilities, or data heavy workflows Ability to reason through trade offs across product, technical, and operational constraints Excellent communication skills with confidence influencing across teams and senior stakeholders Comfort operating in fast moving, ambiguous environments with high ownership Nice to have experience in payroll, payments, invoicing, or financial systems Nice to have exposure to regulated, multi country, or compliance heavy product environments Experience operating at Staff or Lead Product Manager level is a plus Benefits Competitive compensation aligned with role, experience, and location Stock grant opportunities depending on role, employment status, and country Flexible, remote first work environment with optional coworking access Scalable benefits and perks tailored to local employment conditions Opportunity to work on globally impactful products at the intersection of payroll and fintech Inclusive culture with strong emphasis on autonomy, growth, and collaboration Why Apply Through Jobgether? We use an AI powered matching process to ensure your application is reviewed quickly, objectively, and fairly against the role's core requirements. Our system identifies the top fitting candidates, and this shortlist is then shared directly with the hiring company. The final decision and next steps (interviews, assessments) are managed by their internal team. We appreciate your interest and wish you the best! Data Privacy Notice: By submitting your application, you acknowledge that Jobgether will process your personal data to evaluate your candidacy and share relevant information with the hiring employer. This processing is based on legitimate interest and pre contractual measures under applicable data protection laws (including GDPR). You may exercise your rights (access, rectification, erasure, objection) at any time.
A fast-paced entrepreneurial company in Maidenhead is seeking a Senior Group Finance Manager. This role involves supporting the preparation of monthly management accounts, assisting with statutory accounts, and maintaining compliance frameworks. The ideal candidate will have 3-5 years of post-qualified experience in finance, strong accounting foundation, and excellent communication skills. This position presents excellent progression opportunities within a dynamic environment.
Jan 11, 2026
Full time
A fast-paced entrepreneurial company in Maidenhead is seeking a Senior Group Finance Manager. This role involves supporting the preparation of monthly management accounts, assisting with statutory accounts, and maintaining compliance frameworks. The ideal candidate will have 3-5 years of post-qualified experience in finance, strong accounting foundation, and excellent communication skills. This position presents excellent progression opportunities within a dynamic environment.
Finance Business Partner - London Seeking a Finance Business Partner position that has become available on a 2-month contract within an Events company based in Central London. We are seeking a dynamic, highly organised, and driven individual to take financial accountability of a number of events, working collaboratively with the project teams to manage project spend and working closely with the Finance team to provide accurate and timely data. Responsibilities Month end closedown Regular analysis of income, GP%, staffing costs Assist in preparing the annual budgets and reforecasts / rolling forecast Balance Sheet reconciliations Assist with year-end audit Assist with weekly payment runs Assist the Finance team in any other ad hoc projects and events. Producing ad-hoc budgets and projections for the Directors Oversee consolidated event P&L tracker for all events Reconcile card and cash takings to accurately report and recognise revenue Owning the event budget from a Finance perspective and challenging any overspends Ensuring PO's have been raised and approved for all committed costs Liaising with Operations and Management to ensure correct and timely client reporting Working with Project Manager to reconcile project against budget and report on variances Producing analysis reports to identify trends to help onsite operations Ownership of the bespoke budgeting system ensuring all standard costs are up to date Liaise with the developer of the bespoke budgeting system to ensure issues are tracked and fixed Knowledge & Experience Project accounting experience Advanced Excel skills (vlookup, sumifs, pivot tables etc) Strong analytical skills, with expertise in budgeting and variance analysis Able to work with large volumes of data and complex spreadsheets Confident and able to challenge senior managers on event budgets and expenditure Organised, methodical with excellent attention to detail Excellent presentation and communication skills Able to multi-task and cope with pressures of conflicting work priorities Experience and managing projects to tight deadlines Experience in events/festival/hospitality industry Paprika accounting system To be considered for the role, candidates must be available to start the role immediately. For application and accessibility support, please contact your local Marks Sattin office. We're committed to protecting the privacy of all our candidates and clients, please visit for our privacy policy.
Jan 11, 2026
Full time
Finance Business Partner - London Seeking a Finance Business Partner position that has become available on a 2-month contract within an Events company based in Central London. We are seeking a dynamic, highly organised, and driven individual to take financial accountability of a number of events, working collaboratively with the project teams to manage project spend and working closely with the Finance team to provide accurate and timely data. Responsibilities Month end closedown Regular analysis of income, GP%, staffing costs Assist in preparing the annual budgets and reforecasts / rolling forecast Balance Sheet reconciliations Assist with year-end audit Assist with weekly payment runs Assist the Finance team in any other ad hoc projects and events. Producing ad-hoc budgets and projections for the Directors Oversee consolidated event P&L tracker for all events Reconcile card and cash takings to accurately report and recognise revenue Owning the event budget from a Finance perspective and challenging any overspends Ensuring PO's have been raised and approved for all committed costs Liaising with Operations and Management to ensure correct and timely client reporting Working with Project Manager to reconcile project against budget and report on variances Producing analysis reports to identify trends to help onsite operations Ownership of the bespoke budgeting system ensuring all standard costs are up to date Liaise with the developer of the bespoke budgeting system to ensure issues are tracked and fixed Knowledge & Experience Project accounting experience Advanced Excel skills (vlookup, sumifs, pivot tables etc) Strong analytical skills, with expertise in budgeting and variance analysis Able to work with large volumes of data and complex spreadsheets Confident and able to challenge senior managers on event budgets and expenditure Organised, methodical with excellent attention to detail Excellent presentation and communication skills Able to multi-task and cope with pressures of conflicting work priorities Experience and managing projects to tight deadlines Experience in events/festival/hospitality industry Paprika accounting system To be considered for the role, candidates must be available to start the role immediately. For application and accessibility support, please contact your local Marks Sattin office. We're committed to protecting the privacy of all our candidates and clients, please visit for our privacy policy.
Role Purpose Serve as the finance lead for manufacturing operations-owning production cost analysis, inventory and stock accounting, monthly operational performance reporting, and additional financial control activities. Partner with Unit Managers, Planning and Supply Chain teams to translate operational activity into actionable financial insights, drive process improvements, and ensure accurate, t click apply for full job details
Jan 11, 2026
Seasonal
Role Purpose Serve as the finance lead for manufacturing operations-owning production cost analysis, inventory and stock accounting, monthly operational performance reporting, and additional financial control activities. Partner with Unit Managers, Planning and Supply Chain teams to translate operational activity into actionable financial insights, drive process improvements, and ensure accurate, t click apply for full job details
Day off on your Birthday Hybrid Working Summer Fridays Wine Club No Visa Sponsorship is Offered with this role. Must have full UK right to work. Audit Manager Top 50 Firm City of London Were working with a highly respected Top 50 accountancy practice based in the City of London, now looking to hire ambitious Audit Managers to join the team from 2026 onwards click apply for full job details
Jan 11, 2026
Full time
Day off on your Birthday Hybrid Working Summer Fridays Wine Club No Visa Sponsorship is Offered with this role. Must have full UK right to work. Audit Manager Top 50 Firm City of London Were working with a highly respected Top 50 accountancy practice based in the City of London, now looking to hire ambitious Audit Managers to join the team from 2026 onwards click apply for full job details
A leading financial services firm is looking for a Corporate Tax Manager in London or Glasgow. You will join a team of specialists, focusing on UK and international fund compliance and reporting. Key responsibilities include completing investor tax reporting, managing advisory projects, and ensuring adherence to risk procedures. Candidates should be ACA or ACCA qualified, ideally with UK investor tax reporting experience. The role offers hybrid working, a cash allowance, and a generous holiday package.
Jan 11, 2026
Full time
A leading financial services firm is looking for a Corporate Tax Manager in London or Glasgow. You will join a team of specialists, focusing on UK and international fund compliance and reporting. Key responsibilities include completing investor tax reporting, managing advisory projects, and ensuring adherence to risk procedures. Candidates should be ACA or ACCA qualified, ideally with UK investor tax reporting experience. The role offers hybrid working, a cash allowance, and a generous holiday package.
Qualified Accounts Senior / Manager - Multiple Locations Banbury, Stratford-upon-Avon, or Kettering £50,000 - £65,000 + Benefits Specialist Focus: Agriculture & Property We're supporting a leading Top 100 accountancy practice as they continue to grow their specialist Agriculture & Property team click apply for full job details
Jan 11, 2026
Full time
Qualified Accounts Senior / Manager - Multiple Locations Banbury, Stratford-upon-Avon, or Kettering £50,000 - £65,000 + Benefits Specialist Focus: Agriculture & Property We're supporting a leading Top 100 accountancy practice as they continue to grow their specialist Agriculture & Property team click apply for full job details
Senior Tax Manager Department: Corporate Tax Employment Type: Permanent Location: Worthing Description Carpenter Box is proud to be part of the Sumer Group. We are chartered accountants, tax, and business advisers based in the Southeast. Our culture is built on collaboration, innovation, and professional excellence, where every team member is encouraged to grow, contribute, and make a real difference. We are seeking a Senior Manager to work within our Tax Advisory team. The role would be based predominantly in our Worthing office, with the flexibility to also work from home and/or our Gatwick, Brighton or Chichester offices. Our team provide tax advice across a wide variety of sectors and taxes, and you will need to have proven experience in both corporate and personal taxes. Key Responsibilities Providing clear and concise advice to your portfolio of clients, building trusted and effective relationships Work closely with non-tax fee earners across the group, including Business Services and Audit, to deliver a wide range of business tax projects Managing and reviewing complex corporation tax returns, advising on matters such as corporate reorganisations, EMI schemes, and tax planning for owner managed businesses. Advising owner managed businesses regarding remuneration planning, succession planning, CGT and IHT mitigation Delivering specialist tax advice which may include profit extraction strategies, management buy outs, and key stages of the business lifecycle. Line management responsibilities for trainees within your team, providing regular feedback and supporting their development. Skills, Knowledge & Expertise You should be an experienced tax adviser to SMEs and their owner/managers CTA qualified is advantageous, however candidates that are ATT/ACA qualified with proven experience may also be considered. At Sumer, we are committed to fostering an inclusive and diverse work environment, not just as buzzwords, but as the heartbeat of our team. Our recruitment practices reflect this commitment, welcoming individuals from all backgrounds. We prioritise creating an environment where every candidate feels respected and supported throughout the hiring process. Job Benefits Working in a relaxed, friendly, modern environment with a great team Agile working hours and office space Paid overtime or take time off in lieu if you work over your contracted hours 9% pension contributions Private Medical Insurance
Jan 11, 2026
Full time
Senior Tax Manager Department: Corporate Tax Employment Type: Permanent Location: Worthing Description Carpenter Box is proud to be part of the Sumer Group. We are chartered accountants, tax, and business advisers based in the Southeast. Our culture is built on collaboration, innovation, and professional excellence, where every team member is encouraged to grow, contribute, and make a real difference. We are seeking a Senior Manager to work within our Tax Advisory team. The role would be based predominantly in our Worthing office, with the flexibility to also work from home and/or our Gatwick, Brighton or Chichester offices. Our team provide tax advice across a wide variety of sectors and taxes, and you will need to have proven experience in both corporate and personal taxes. Key Responsibilities Providing clear and concise advice to your portfolio of clients, building trusted and effective relationships Work closely with non-tax fee earners across the group, including Business Services and Audit, to deliver a wide range of business tax projects Managing and reviewing complex corporation tax returns, advising on matters such as corporate reorganisations, EMI schemes, and tax planning for owner managed businesses. Advising owner managed businesses regarding remuneration planning, succession planning, CGT and IHT mitigation Delivering specialist tax advice which may include profit extraction strategies, management buy outs, and key stages of the business lifecycle. Line management responsibilities for trainees within your team, providing regular feedback and supporting their development. Skills, Knowledge & Expertise You should be an experienced tax adviser to SMEs and their owner/managers CTA qualified is advantageous, however candidates that are ATT/ACA qualified with proven experience may also be considered. At Sumer, we are committed to fostering an inclusive and diverse work environment, not just as buzzwords, but as the heartbeat of our team. Our recruitment practices reflect this commitment, welcoming individuals from all backgrounds. We prioritise creating an environment where every candidate feels respected and supported throughout the hiring process. Job Benefits Working in a relaxed, friendly, modern environment with a great team Agile working hours and office space Paid overtime or take time off in lieu if you work over your contracted hours 9% pension contributions Private Medical Insurance
CMA is partnering with a unique Ringwood based organisation to recruit a Finance Manager for a part-time, on-site position. This is a key leadership role within the business, responsible for overseeing day-to-day financial operations while supporting strategic decision-making. Working closely with senior leadership, the Finance Manager will play an integral part in budgeting, forecasting, reporting, and ensuring strong financial governance aligned to the organisation s mission and long-term objectives. What will the Finance Manager role involve? Overseeing financial operations including budgeting, forecasting, and management reporting Preparing financial statements and managing payroll processing, ensuring accuracy and compliance Ensuring adherence to accounting standards, payroll legislation, and financial regulations Managing accounting processes, controls, and financial systems Providing financial insight and guidance to senior stakeholders to support strategic planning and decision-making Suitable Candidate for the Finance Manager vacancy: Proven experience in financial planning, budgeting, forecasting, and reporting Essential experience in payroll processing and payroll compliance Strong understanding of accounting, audit, and regulatory requirements Confident using financial systems and tools such as Excel and accounting software (e.g. QuickBooks) Excellent analytical, communication, and stakeholder management skills Degree-qualified in Finance, Accounting, or a related discipline, with professional qualifications (ACCA/CPA) advantageous Experience within the nonprofit or social care sector would be beneficial but not essential Additional benefits and information for the role of Finance Manager: Part-time, on-site position based in Ringwood Competitive salary and benefits package Opportunity to work closely with leadership and influence financial strategy Varied and rewarding role within a values-led organisation CMA Recruitment Group is acting as a recruitment agency in relation to this role. CMA complies with all relevant UK legislation and doesn t discriminate on any protected characteristics. By completing the application process, you agree to the terms outlined in our Privacy Notice and that CMA may contact you in connection with your application in relation to CMA providing you with work finding services. Our Privacy Notice can be viewed under the privacy tab on our website. CMA is currently receiving a high volume of applications. Whilst we ensure all applications are considered, regrettably, it may not be possible to respond individually to all applications received.
Jan 11, 2026
Full time
CMA is partnering with a unique Ringwood based organisation to recruit a Finance Manager for a part-time, on-site position. This is a key leadership role within the business, responsible for overseeing day-to-day financial operations while supporting strategic decision-making. Working closely with senior leadership, the Finance Manager will play an integral part in budgeting, forecasting, reporting, and ensuring strong financial governance aligned to the organisation s mission and long-term objectives. What will the Finance Manager role involve? Overseeing financial operations including budgeting, forecasting, and management reporting Preparing financial statements and managing payroll processing, ensuring accuracy and compliance Ensuring adherence to accounting standards, payroll legislation, and financial regulations Managing accounting processes, controls, and financial systems Providing financial insight and guidance to senior stakeholders to support strategic planning and decision-making Suitable Candidate for the Finance Manager vacancy: Proven experience in financial planning, budgeting, forecasting, and reporting Essential experience in payroll processing and payroll compliance Strong understanding of accounting, audit, and regulatory requirements Confident using financial systems and tools such as Excel and accounting software (e.g. QuickBooks) Excellent analytical, communication, and stakeholder management skills Degree-qualified in Finance, Accounting, or a related discipline, with professional qualifications (ACCA/CPA) advantageous Experience within the nonprofit or social care sector would be beneficial but not essential Additional benefits and information for the role of Finance Manager: Part-time, on-site position based in Ringwood Competitive salary and benefits package Opportunity to work closely with leadership and influence financial strategy Varied and rewarding role within a values-led organisation CMA Recruitment Group is acting as a recruitment agency in relation to this role. CMA complies with all relevant UK legislation and doesn t discriminate on any protected characteristics. By completing the application process, you agree to the terms outlined in our Privacy Notice and that CMA may contact you in connection with your application in relation to CMA providing you with work finding services. Our Privacy Notice can be viewed under the privacy tab on our website. CMA is currently receiving a high volume of applications. Whilst we ensure all applications are considered, regrettably, it may not be possible to respond individually to all applications received.
Ernst & Young Advisory Services Sdn Bhd
Reading, Oxfordshire
Assurance - FAAS - Treasury - Manager - Reading or Manchester Location: Reading Other locations: Anywhere in Country Requisition ID: At EY, we're all in to shape your future with confidence. We'll help you succeed in a globally connected powerhouse of diverse teams and take your career wherever you want it to go. Join EY and help to build a better working world. UKI Assurance - Financial Accounting Advisory Services - Corporate Treasury - Manager - Reading or Manchester At EY, you'll have the chance to build a career as unique as you are, with the global scale, support, inclusive culture and technology to become the best version of you. And we're counting on your unique voice and perspective to help EY become even better, too. Join us and build an exceptional experience for yourself, and a better working world for all. Our EY Corporate Treasury Practice is looking for talented professionals to deliver consultative Treasury assurance and advisory services to our high profile global and UK clients within this dynamic area of our business. The Opportunity A role in Corporate Treasury is multi-dimensional. Whether you're coming from an audit background or are currently working in a Corporate Treasury or Treasury Management environment, we can align a role with your experience. In return for helping us build a better working world, you can expect excellent career opportunities within a high growth and collaborative environment. We have huge growth ambitions and seeking highly motivated treasury talent to support corporate clients in this very volatile and technology enabled transformation decade. This is an exciting time to join our team and help build out an emerging practice at EY, and to experience the opportunities for learning and personal growth that brings. Your key responsibilities Treasury systems design, select and implementation : you will play a pivotal role providing specialist advice in relation to the design of the future treasury function, developing transformation plan, managing Treasury Management System implementation from initiation to completion. Corporate Treasury Advisory and Consulting : maturity assessments; improvement and treasury transformation projects; controls and governance reviews; cash flow forecasting, cash flow management and liquidity optimisation; bank account rationalisation, banking rfp, financial due diligence support. EY Audit Support : Providing independent expert knowledge to EY Audit clients via EY Audit teams on financial instrument valuations and accounting, hedge accounting, expected credit loss allowance calculations and incremental borrowing rate calculations. Financial Accounting Advisory Services (FAAS) : directly advising non-EY Audit clients on how they should be accounting for financial instruments in terms of IFRS 9, 13 and 16 and FRS 102. Actively establish, maintain, and strengthen internal and external relationships and networks. Manage client engagement risk and supervise the team to ensure client deliverables are met. Provide subject matter expertise to clients on industry best practices and emerging trends. People and performance management, coaching junior colleagues throughout the performance year Skills and attributes for success Colleagues and clients from a diverse array of backgrounds will look to you first for answers, so you'll be a prominent contact when it comes to resolving complex issues. You will have the team behind giving you their full support. As you build your knowledge and experience, you'll become a credible advisor, influencing clients and teams on resolutions that will impact entire engagements. Your technical skills will be stretched and tested as you broaden your knowledge of corporate treasury practices, systems, and solutions. You'll also be introduced to career challenges that will take you into exciting new professional territory. To qualify for the role you must have One of the following: Fully qualified chartered accountant e.g. ACCA, ACA, CA, CPA, ICAS, or international equivalent, with professional external audit experience; OR Hold a Treasury qualification (ACT, AMCT, CFA) and have experience working in a Corporate Finance or Treasury role; OR Degree level education or international equivalent (preferably in an Accounting/Finance related subject) Treasury Management System certification: Kyriba, FIS, Gtreasury, ION, SAP, etc Relevant professional Treasury experience e.g. Corporate Treasury, hedge accounting, or valuations experience, or within a treasury or financial risk system software vendor Strong analytical and problem-solving skills Excellent written and verbal communication skills Ideally you'll also have The ability to assess business practices and articulate gaps and opportunities for improvement compared to typical industry practices Experience and understanding of treasury operations, including treasury systems (such as SAP S/4HANA), cash management, financial risk management, funding and debt management, bank relationship management Experience and understanding of treasury governance, processes risks and controls Knowledge of accounting and valuations of financial instruments (IFRS, UK GAAP or equivalent) Demonstrated interest in Financial Markets, Corporate Treasury, and/or financial risk modelling The ability to explain specialised concepts to non-technical audiences What we look for We're interested in motivated and collaborative professionals with a genuine interest in learning and the confidence to make it happen. You can expect plenty of autonomy in this role, so you'll also need the ability to take initiative and seek out opportunities to improve our current relationships and processes. If you're serious about developing your career with us and ready to take on some of our clients' most complex issues, this role is for you. What we offer EY is committed to being an inclusive employer and we are happy to consider flexible working arrangements. We strive to achieve the right balance for our people, enabling us to deliver excellent client service whilst allowing you to build your career without sacrificing your personal priorities. While our client facing professionals can be required to travel regularly, and at times be based at client sites, our flexible working arrangements can help you to achieve a lifestyle balance. We offer a competitive remuneration package. Our comprehensive Total Rewards package includes support for flexible working and career development, and with FlexEY you can select benefits that suit your needs, covering holidays, health and well being, insurance, savings and a wide range of discounts, offers and promotions. Plus, we offer: Continuous learning : You'll develop the mindset and skills to navigate whatever comes next. Success as defined by you : We'll provide the tools and flexibility, so you can make a meaningful impact, your way. Transformative leadership :We'll give you the insights, coaching and confidence to be the leader the world needs. Diverse and inclusive culture : You'll be embraced for who you are and empowered to use your voice to help others find theirs. The exceptional EY experience. Shape your future with confidence! Apply now. Please note prior to finalizing your application, you will be asked to provide personal information across several dimensions of diversity and inclusiveness. The information you provide is kept entirely confidential and will not be used to evaluate your candidacy. We collect this data to help us analyse our recruitment process holistically and implement actions that promote diversity and inclusiveness. While optional, we encourage you to provide this information to hold us accountable towards our goal of building a better working world. We ask because it matters! EY Building a better working world
Jan 10, 2026
Full time
Assurance - FAAS - Treasury - Manager - Reading or Manchester Location: Reading Other locations: Anywhere in Country Requisition ID: At EY, we're all in to shape your future with confidence. We'll help you succeed in a globally connected powerhouse of diverse teams and take your career wherever you want it to go. Join EY and help to build a better working world. UKI Assurance - Financial Accounting Advisory Services - Corporate Treasury - Manager - Reading or Manchester At EY, you'll have the chance to build a career as unique as you are, with the global scale, support, inclusive culture and technology to become the best version of you. And we're counting on your unique voice and perspective to help EY become even better, too. Join us and build an exceptional experience for yourself, and a better working world for all. Our EY Corporate Treasury Practice is looking for talented professionals to deliver consultative Treasury assurance and advisory services to our high profile global and UK clients within this dynamic area of our business. The Opportunity A role in Corporate Treasury is multi-dimensional. Whether you're coming from an audit background or are currently working in a Corporate Treasury or Treasury Management environment, we can align a role with your experience. In return for helping us build a better working world, you can expect excellent career opportunities within a high growth and collaborative environment. We have huge growth ambitions and seeking highly motivated treasury talent to support corporate clients in this very volatile and technology enabled transformation decade. This is an exciting time to join our team and help build out an emerging practice at EY, and to experience the opportunities for learning and personal growth that brings. Your key responsibilities Treasury systems design, select and implementation : you will play a pivotal role providing specialist advice in relation to the design of the future treasury function, developing transformation plan, managing Treasury Management System implementation from initiation to completion. Corporate Treasury Advisory and Consulting : maturity assessments; improvement and treasury transformation projects; controls and governance reviews; cash flow forecasting, cash flow management and liquidity optimisation; bank account rationalisation, banking rfp, financial due diligence support. EY Audit Support : Providing independent expert knowledge to EY Audit clients via EY Audit teams on financial instrument valuations and accounting, hedge accounting, expected credit loss allowance calculations and incremental borrowing rate calculations. Financial Accounting Advisory Services (FAAS) : directly advising non-EY Audit clients on how they should be accounting for financial instruments in terms of IFRS 9, 13 and 16 and FRS 102. Actively establish, maintain, and strengthen internal and external relationships and networks. Manage client engagement risk and supervise the team to ensure client deliverables are met. Provide subject matter expertise to clients on industry best practices and emerging trends. People and performance management, coaching junior colleagues throughout the performance year Skills and attributes for success Colleagues and clients from a diverse array of backgrounds will look to you first for answers, so you'll be a prominent contact when it comes to resolving complex issues. You will have the team behind giving you their full support. As you build your knowledge and experience, you'll become a credible advisor, influencing clients and teams on resolutions that will impact entire engagements. Your technical skills will be stretched and tested as you broaden your knowledge of corporate treasury practices, systems, and solutions. You'll also be introduced to career challenges that will take you into exciting new professional territory. To qualify for the role you must have One of the following: Fully qualified chartered accountant e.g. ACCA, ACA, CA, CPA, ICAS, or international equivalent, with professional external audit experience; OR Hold a Treasury qualification (ACT, AMCT, CFA) and have experience working in a Corporate Finance or Treasury role; OR Degree level education or international equivalent (preferably in an Accounting/Finance related subject) Treasury Management System certification: Kyriba, FIS, Gtreasury, ION, SAP, etc Relevant professional Treasury experience e.g. Corporate Treasury, hedge accounting, or valuations experience, or within a treasury or financial risk system software vendor Strong analytical and problem-solving skills Excellent written and verbal communication skills Ideally you'll also have The ability to assess business practices and articulate gaps and opportunities for improvement compared to typical industry practices Experience and understanding of treasury operations, including treasury systems (such as SAP S/4HANA), cash management, financial risk management, funding and debt management, bank relationship management Experience and understanding of treasury governance, processes risks and controls Knowledge of accounting and valuations of financial instruments (IFRS, UK GAAP or equivalent) Demonstrated interest in Financial Markets, Corporate Treasury, and/or financial risk modelling The ability to explain specialised concepts to non-technical audiences What we look for We're interested in motivated and collaborative professionals with a genuine interest in learning and the confidence to make it happen. You can expect plenty of autonomy in this role, so you'll also need the ability to take initiative and seek out opportunities to improve our current relationships and processes. If you're serious about developing your career with us and ready to take on some of our clients' most complex issues, this role is for you. What we offer EY is committed to being an inclusive employer and we are happy to consider flexible working arrangements. We strive to achieve the right balance for our people, enabling us to deliver excellent client service whilst allowing you to build your career without sacrificing your personal priorities. While our client facing professionals can be required to travel regularly, and at times be based at client sites, our flexible working arrangements can help you to achieve a lifestyle balance. We offer a competitive remuneration package. Our comprehensive Total Rewards package includes support for flexible working and career development, and with FlexEY you can select benefits that suit your needs, covering holidays, health and well being, insurance, savings and a wide range of discounts, offers and promotions. Plus, we offer: Continuous learning : You'll develop the mindset and skills to navigate whatever comes next. Success as defined by you : We'll provide the tools and flexibility, so you can make a meaningful impact, your way. Transformative leadership :We'll give you the insights, coaching and confidence to be the leader the world needs. Diverse and inclusive culture : You'll be embraced for who you are and empowered to use your voice to help others find theirs. The exceptional EY experience. Shape your future with confidence! Apply now. Please note prior to finalizing your application, you will be asked to provide personal information across several dimensions of diversity and inclusiveness. The information you provide is kept entirely confidential and will not be used to evaluate your candidacy. We collect this data to help us analyse our recruitment process holistically and implement actions that promote diversity and inclusiveness. While optional, we encourage you to provide this information to hold us accountable towards our goal of building a better working world. We ask because it matters! EY Building a better working world
A leading e-commerce firm is seeking a Finance Manager to oversee financial reporting and insights for Supply Chain direct costs. The role includes partnering with various teams to manage budgets and forecasts while ensuring accuracy in financial reports. Ideal candidates will have strong management accounting experience, advanced Microsoft Office and ERP skills, along with expertise in financial reporting and forecasting. This is a hybrid position requiring attendance in Solihull, UK at least three days a week.
Jan 10, 2026
Full time
A leading e-commerce firm is seeking a Finance Manager to oversee financial reporting and insights for Supply Chain direct costs. The role includes partnering with various teams to manage budgets and forecasts while ensuring accuracy in financial reports. Ideal candidates will have strong management accounting experience, advanced Microsoft Office and ERP skills, along with expertise in financial reporting and forecasting. This is a hybrid position requiring attendance in Solihull, UK at least three days a week.
How would you describe yourself? Ambitious and keen to learn? A good team player who enjoys working with other great people? Confident and personable? If the answer to all of the above is yes, and you are also an experienced accountancy practice specialist with strong technical skills, then I want to hear from you I'm working with a sociable and forward-thinking firm. Continued success and growth has meant that they're again looking to add to their friendly team, ideally at the Senior or Client Manager level. You'll need to be a strong technical accountant with a strong background in statutory accounts and tax return preparation. Strong communication skills are important as the firm strongly believes in offering a personal service to its varied portfolio of sole traders, partnerships, and limited companies. Applications are welcomed from fully or part qualified ACA's or ACCA's, applicants who would describe themselves as qualified by experience, or AAT qualified candidates. Unfortunately, the technical nature of this role means that only candidates with a strong and recent background in accountancy practice can be considered. If this sounds like the role for you, please apply addressed to Rob Emsley and quoting job reference RE10036.
Jan 10, 2026
Full time
How would you describe yourself? Ambitious and keen to learn? A good team player who enjoys working with other great people? Confident and personable? If the answer to all of the above is yes, and you are also an experienced accountancy practice specialist with strong technical skills, then I want to hear from you I'm working with a sociable and forward-thinking firm. Continued success and growth has meant that they're again looking to add to their friendly team, ideally at the Senior or Client Manager level. You'll need to be a strong technical accountant with a strong background in statutory accounts and tax return preparation. Strong communication skills are important as the firm strongly believes in offering a personal service to its varied portfolio of sole traders, partnerships, and limited companies. Applications are welcomed from fully or part qualified ACA's or ACCA's, applicants who would describe themselves as qualified by experience, or AAT qualified candidates. Unfortunately, the technical nature of this role means that only candidates with a strong and recent background in accountancy practice can be considered. If this sounds like the role for you, please apply addressed to Rob Emsley and quoting job reference RE10036.
This is an exciting opportunity for a Marketing Manager to join a leading organisation in the financial services sector on a fixed-term contract. The role focuses on driving marketing initiatives, campaigns, and strategies to support business objectives. Client Details This is a well-established organisation within the financial services industry, known for its professional approach and commitment to excellence. Operating as a medium-sized enterprise, they are dedicated to delivering high-quality services to their clients. Description The responsibilities for the Marketing Manager - FTC role will include: Develop and execute marketing strategies aligned with business goals. Manage and oversee marketing campaigns across various platforms. Collaborate with internal teams and external agencies to deliver marketing projects. Monitor and analyse campaign performance, providing regular reports and insights. Manage the marketing budget effectively to maximise ROI. Ensure all marketing materials adhere to brand guidelines and regulatory standards. Identify opportunities to improve marketing processes and initiatives. Stay updated on industry trends and competitor activities to inform strategies. Profile For the Marketing Manager - FTC role, applicants should have: 2-3+ years experience in a Marketing Management role Comfortable being in a 'hands-on' multichannel marketing generalist role Experience in professional services, or a related regulated environment would be advantageous Strong knowledge of marketing strategies, tools, and techniques. Experience in both digital, and traditional marketing channels is desirable. Ability to analyse data and derive actionable insights. Excellent communication and collaboration skills. A degree in marketing, business, or a related field is preferred. Please note, this role requires 5 days on-site per week in Liverpool City Centre. Hybrid Working is not on offer for this role Job Offer On offer for the Marketing Manager - FTC role: Competitive salary Generous holiday entitlement of 25 days. Exposure to a reputable organisation within the financial services industry. Opportunity to work in a collaborative and professional environment. An opportuntiy to join a company on a 12 month contract This role is based in Liverpool and offers an excellent opportunity for a Marketing Manager looking to make a significant impact. If you are ready to take on this exciting challenge, we encourage you to apply today!
Jan 10, 2026
Full time
This is an exciting opportunity for a Marketing Manager to join a leading organisation in the financial services sector on a fixed-term contract. The role focuses on driving marketing initiatives, campaigns, and strategies to support business objectives. Client Details This is a well-established organisation within the financial services industry, known for its professional approach and commitment to excellence. Operating as a medium-sized enterprise, they are dedicated to delivering high-quality services to their clients. Description The responsibilities for the Marketing Manager - FTC role will include: Develop and execute marketing strategies aligned with business goals. Manage and oversee marketing campaigns across various platforms. Collaborate with internal teams and external agencies to deliver marketing projects. Monitor and analyse campaign performance, providing regular reports and insights. Manage the marketing budget effectively to maximise ROI. Ensure all marketing materials adhere to brand guidelines and regulatory standards. Identify opportunities to improve marketing processes and initiatives. Stay updated on industry trends and competitor activities to inform strategies. Profile For the Marketing Manager - FTC role, applicants should have: 2-3+ years experience in a Marketing Management role Comfortable being in a 'hands-on' multichannel marketing generalist role Experience in professional services, or a related regulated environment would be advantageous Strong knowledge of marketing strategies, tools, and techniques. Experience in both digital, and traditional marketing channels is desirable. Ability to analyse data and derive actionable insights. Excellent communication and collaboration skills. A degree in marketing, business, or a related field is preferred. Please note, this role requires 5 days on-site per week in Liverpool City Centre. Hybrid Working is not on offer for this role Job Offer On offer for the Marketing Manager - FTC role: Competitive salary Generous holiday entitlement of 25 days. Exposure to a reputable organisation within the financial services industry. Opportunity to work in a collaborative and professional environment. An opportuntiy to join a company on a 12 month contract This role is based in Liverpool and offers an excellent opportunity for a Marketing Manager looking to make a significant impact. If you are ready to take on this exciting challenge, we encourage you to apply today!
This is a job that Jill, our AI Recruiter, is recruiting for on behalf of one of our customers. She will pick the best candidates from Jack's network. The next step is to speak to Jack. Tax Manager Company Description: Leading independent London accountancy firm Job Description: As a Tax Manager, you will support Client Directors in delivering technically excellent tax advice to a diverse portfolio of corporate and personal clients. You will manage complex tax planning initiatives, including R&D and employee share schemes, while serving as a trusted advisor to help clients optimize their tax efficiency and maintain compliance. Location: London, UK Why this role is remarkable: Benefit from a hybrid working model with two days per week from home, offering a modern balance between office collaboration and personal flexibility Gain exposure to high-level advisory work including SEIS/EIS applications and complex tax research that goes far beyond standard compliance Join a well-established and growing firm that prioritizes professional development and provides a direct path for internal advancement across multiple locations What you will do: Prepare and review corporate and personal tax returns while delivering specialized planning initiatives like R&D tax credits and capital allowances analysis Act as the primary point of contact for HMRC inquiries, navigating complex negotiations and providing strategic internal ad hoc tax support Lead and mentor junior team members through work reviews and technical training to ensure high-quality delivery across all client engagements The ideal candidate: Must be CTA qualified with significant experience in both corporate and personal tax within an accountancy practice environment Possesses excellent communication and strategic thinking skills, capable of translating complex tax legislation into actionable advice for clients Demonstrates proficiency in professional tax software, preferably Iris, and has a strong commitment to delivering accurate, high-quality technical work Next steps: Visit our website Click 'Talk to Jack' Talk to Jack so he can understand your experience and ambitions Jack will make sure Jill (the AI agent working for the company) considers you for this role If Jill thinks you're a great fit and her client wants to meet you, they will make the introduction If not, Jack will find you excellent alternatives. All for free
Jan 10, 2026
Full time
This is a job that Jill, our AI Recruiter, is recruiting for on behalf of one of our customers. She will pick the best candidates from Jack's network. The next step is to speak to Jack. Tax Manager Company Description: Leading independent London accountancy firm Job Description: As a Tax Manager, you will support Client Directors in delivering technically excellent tax advice to a diverse portfolio of corporate and personal clients. You will manage complex tax planning initiatives, including R&D and employee share schemes, while serving as a trusted advisor to help clients optimize their tax efficiency and maintain compliance. Location: London, UK Why this role is remarkable: Benefit from a hybrid working model with two days per week from home, offering a modern balance between office collaboration and personal flexibility Gain exposure to high-level advisory work including SEIS/EIS applications and complex tax research that goes far beyond standard compliance Join a well-established and growing firm that prioritizes professional development and provides a direct path for internal advancement across multiple locations What you will do: Prepare and review corporate and personal tax returns while delivering specialized planning initiatives like R&D tax credits and capital allowances analysis Act as the primary point of contact for HMRC inquiries, navigating complex negotiations and providing strategic internal ad hoc tax support Lead and mentor junior team members through work reviews and technical training to ensure high-quality delivery across all client engagements The ideal candidate: Must be CTA qualified with significant experience in both corporate and personal tax within an accountancy practice environment Possesses excellent communication and strategic thinking skills, capable of translating complex tax legislation into actionable advice for clients Demonstrates proficiency in professional tax software, preferably Iris, and has a strong commitment to delivering accurate, high-quality technical work Next steps: Visit our website Click 'Talk to Jack' Talk to Jack so he can understand your experience and ambitions Jack will make sure Jill (the AI agent working for the company) considers you for this role If Jill thinks you're a great fit and her client wants to meet you, they will make the introduction If not, Jack will find you excellent alternatives. All for free
Accounts Office Manager required for a new and exciting permanent opportunity based on the outskirts of Birmingham city centre. You will be responsible for managing the purchase ledger function, ensuring timely and accurate processing of invoices, payments, and expense reports whilst managing and motivating a small team. You will also support the head of finance with running the accounting operati click apply for full job details
Jan 10, 2026
Full time
Accounts Office Manager required for a new and exciting permanent opportunity based on the outskirts of Birmingham city centre. You will be responsible for managing the purchase ledger function, ensuring timely and accurate processing of invoices, payments, and expense reports whilst managing and motivating a small team. You will also support the head of finance with running the accounting operati click apply for full job details
A growing accountancy firm in Bury St Edmunds is seeking a confident and organised Client Manager to take responsibility for leading teams, coordinating client activity and ensuring operational excellence. This is a great opportunity for someone who enjoys a varied workload and wants to play a key role in shaping a busy practice. The Client Manager will oversee daily operations, support employee performance, and collaborate with senior leadership to streamline processes and encourage long-term growth. You will also act as a trusted contact for clients, helping to deliver a consistently high standard of service. Responsibilities: Guide and mentor team members, overseeing task allocation, skills development and regular feedback. Review and refine internal workflows to improve efficiency and client satisfaction. Handle client communication, ensuring queries are addressed quickly and professionally. Contribute to planning, compliance work and wider business initiatives alongside senior leaders. Monitor adherence to relevant regulations and industry requirements. Benefits: 25 days' annual leave plus bank holidays Ongoing CPD and training Flexible hybrid working Enhanced maternity scheme Income protection for long-term illness. Life assurance policy Study support and professional memberships Health cash plan Enhanced sick pay. Wellbeing programme Regular social events
Jan 10, 2026
Full time
A growing accountancy firm in Bury St Edmunds is seeking a confident and organised Client Manager to take responsibility for leading teams, coordinating client activity and ensuring operational excellence. This is a great opportunity for someone who enjoys a varied workload and wants to play a key role in shaping a busy practice. The Client Manager will oversee daily operations, support employee performance, and collaborate with senior leadership to streamline processes and encourage long-term growth. You will also act as a trusted contact for clients, helping to deliver a consistently high standard of service. Responsibilities: Guide and mentor team members, overseeing task allocation, skills development and regular feedback. Review and refine internal workflows to improve efficiency and client satisfaction. Handle client communication, ensuring queries are addressed quickly and professionally. Contribute to planning, compliance work and wider business initiatives alongside senior leaders. Monitor adherence to relevant regulations and industry requirements. Benefits: 25 days' annual leave plus bank holidays Ongoing CPD and training Flexible hybrid working Enhanced maternity scheme Income protection for long-term illness. Life assurance policy Study support and professional memberships Health cash plan Enhanced sick pay. Wellbeing programme Regular social events
Robert Half is partnering a Manchester based infrastructure service provider in the appointment of an ACA/ACCA/CIMA qualified Finance Manager. The business is seeing a proactive and highly capable Finance Manager to take ownership of management accounting, financial accounting, reporting, and company secretarial activities across a multi-entity/project environment click apply for full job details
Jan 10, 2026
Full time
Robert Half is partnering a Manchester based infrastructure service provider in the appointment of an ACA/ACCA/CIMA qualified Finance Manager. The business is seeing a proactive and highly capable Finance Manager to take ownership of management accounting, financial accounting, reporting, and company secretarial activities across a multi-entity/project environment click apply for full job details