Financial Accounts Manager
| Dyddiad hysbysebu: | 10 Chwefror 2026 |
|---|---|
| Cyflog: | £44,700 i £45,000 bob blwyddyn |
| Oriau: | Llawn Amser |
| Dyddiad cau: | 12 Mawrth 2026 |
| Lleoliad: | Office 3, 247 Farndale Road, Newcastle upon Tyne, NE4 8TY |
| Gweithio o bell: | Ar y safle yn unig |
| Cwmni: | CITY WHEELS LIMITED |
| Math o swydd: | Parhaol |
| Cyfeirnod swydd: |
Crynodeb
We are seeking a detail-oriented and experienced Financial Accounts Manager to oversee financial operations, ensure accurate accounting records, and support strategic financial planning. The ideal candidate will manage day-to-day accounting activities, financial reporting, compliance, and budgeting while leading improvements in financial processes.
Main duties include:
• Manage day-to-day finances for taxi bookings and car rentals, including cash flow, expenses, invoicing, and fleet-related costs; complete reconciliations and basic reporting.
• Support payroll budgeting and process salary costs accurately, ensuring employee payments and records are correct.
• Produce monthly management accounts, annual financial statements, and regular cash flow forecasts to support business planning.
• Keep all financial documents well organised for internal controls, audits, and reporting needs.
• Handle tax and compliance work, including VAT returns, payroll submissions, and other mandatory regulatory filings.
Skills and Education:
• Proven experience in Finance or in a similar field.
• Strong communication, interpersonal, and decision-making skills.
• Ability to manage multiple priorities in a fast-paced environment while maintaining high attention to detail.
• Ability to work independently and as part of a team, collaborating effectively with stakeholders.
• Self-motivated with a results-driven attitude and a continuous improvement mindset.
Main duties include:
• Manage day-to-day finances for taxi bookings and car rentals, including cash flow, expenses, invoicing, and fleet-related costs; complete reconciliations and basic reporting.
• Support payroll budgeting and process salary costs accurately, ensuring employee payments and records are correct.
• Produce monthly management accounts, annual financial statements, and regular cash flow forecasts to support business planning.
• Keep all financial documents well organised for internal controls, audits, and reporting needs.
• Handle tax and compliance work, including VAT returns, payroll submissions, and other mandatory regulatory filings.
Skills and Education:
• Proven experience in Finance or in a similar field.
• Strong communication, interpersonal, and decision-making skills.
• Ability to manage multiple priorities in a fast-paced environment while maintaining high attention to detail.
• Ability to work independently and as part of a team, collaborating effectively with stakeholders.
• Self-motivated with a results-driven attitude and a continuous improvement mindset.