Finance Manager
🔒 Confidential Employer
Posted 28 April 2026
LOCATION
Whitby
TYPE
Full-time
LEVEL
Mid-Senior level
CATEGORY
Finance
This employer holds a UK Home Office sponsor license — sponsorship for this specific role is at the employer’s discretion
SKILLS
Financial data analysis
Work in progress accounting
Revenue recognition
Financial regulations
Accounting principles
Financial analysis
Excel functions
VAT returns
FULL DESCRIPTION
Finance Manager
[Employer hidden — view at passion-project.co.uk] Ltd
Whitby
On-site
Full-time
Mid-Senior level
Contact: [contact hidden]
Job Description
Are you a highly motivated and experienced Finance Manager?
We require a Finance Manager to be responsible for overseeing the Company’s financial operations, ensuring compliance with financial regulations, and providing strategic financial advice to support the growth and success of the business.
This role requires experience of collecting and analysing financial data for long-term projects including; work in progress, actual & estimated outturn costs & margins plus revenue recognition.
Skills Required
- Proven experience as a Finance Manager or similar role.
- AAT, CIMA, ACA or ACCA qualified.
- Strong knowledge of financial regulations, accounting principles, and financial analysis.
- Strong knowledge of financial regulations, accounting principles, and financial analysis.
- Excellent analytical and problem-solving skills.
- Strong leadership and interpersonal skills.
- Excellent communication and presentation skills.
- Proficiency in financial software, advanced knowledge of Excel functions.
Key Responsibilities
- Manage and monitor the day-to-day financial operations.
- Lead and supervise the finance team.
- Prepare monthly management accounts, financial reports, and forecasts.
- Project finance accounting & reporting.
- Oversee the budgeting and forecasting process.
- Develop and maintain strong relationships with external stakeholders.
- Ensure compliance with financial regulations.
- Proactively identify opportunities to improve efficiencies, reduce costs, and enhance profitability.
- Preparation and submission of VAT returns.
- Experience managing accruals and prepayments to accurately reflect financial position and performance.
- Monitoring current and predicted cash flow to ensure adequate liquidity.
- Perform balance sheet reconciliations to maintain accurate financial records.
- Responsible for managing the company’s foreign currency strategy.
- Undertake ad-hoc projects.
To find out more about this vacancy, please email [contact hidden]
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