Senior Finance Manager
New Today
About the role
Sitting within the Finance and Operations team and reporting to the Head of Finance & Operations, the Senior Finance Manager plays a pivotal role in ensuring the organisation s financial integrity and health. An exciting mix of management accounting, business partnering, financial analysis and process improvement, this hands-on role oversees the full financial cycle of the Design Council from managing day-to-day processes and payments to delivering accurate financial reporting, insightful analysis and supporting programme delivery and strategic decision-making.
Working closely with internal budget holders and programme managers, external accountants and other service partners, the Senior Finance Manager ensures sound financial planning, robust controls and clear, timely reporting that drives transparency and accountability across the organisation.
They will be proactive in identifying opportunities for continuous improvement of financial processes and systems, utilising technology and data in supporting efficiency and transparency in everything we do.
The Senior Finance Manager is a confident, detail-focused finance professional who thrives in a dynamic environment and enjoys both the technical and collaborative aspects of financial management. They will bring strong analytical skills, excellent communication, and a proactive and creative approach to problem-solving and managing data and systems.
Key responsibilities
The role includes the following responsibilities:
Providing high quality finance business partnering
Meeting with programme managers and other colleagues on a regular basis to track latest estimates of project budgets and resourcing
Generating meaningful insights to support data-driven decision making
Supporting colleagues with general finance queries including expense management and invoicing
Delivering process excellence through service partners
Managing the day-to-day delivery of external service partners for accounting and book-keeping processes, including weekly bank reconciliations, credit card reconciliations and monthly journal management
Managing monthly payroll processes including the external payroll provider, payroll journalling and pension management
Procure to pay process
Liaising with third-party vendors for confirmation of banking details and/or any invoice queries/disputes
Reviewing approved supplier invoices and manage supplier invoice postings
Managing weekly payment runs, including payment journals and related controls
Reviewing and posting employee expense claims including credit card transactions
- Posting client sales invoices
HMRC processes
Ensuring accurate coding of VAT transactions including Domestic/EU/International classifications
Quarterly processing of VAT Return, calculating irrecoverability in accordance with resource allocation rules to business and non-business activity
Management of all payments, submissions and liabilities to HMRC on a monthly, quarterly and annual basis
Ensuring compliance with HMRC regulations including liaising with external advisors where required
Financial reporting and analysis
Timely and accurate production of monthly management accounts
Production of monthly financial forecast (P&L and cash flow)
Regular analysis of margin and resource allocation, utilising data to generate actionable insights
Provide first-level analysis across financial reporting (P&L, cashflow) to support Head of Finance & Operations provide clear information and narratives for Senior Management, board and committee reporting
Work closely with Head of Finance & Operations on the annual budgeting process
Process & systems ownership and improvement
Process owner for the Microsoft Business Central system and connected applications
Leading on the identification of opportunities to improve finance-related processes, systems and controls with a focus on achieving right first time outcomes and one source of truth for data
Support Head of Finance & Operations with ensuring finance systems and connected applications keep pace with technological change and remain fit for purpose
Financial controls and compliance
Ensuring compliance with all financial controls set out in the organisation's Financial Framework, Financial Procedures and Schedule of Authority
Ensuring robust and complete records are kept across all financial processes to ensure all regulatory obligations are met
Ensuring audit process is fast, efficient and maintains the confidence of auditor, colleagues and the Board of Trustees
About you
The role requires a hands-on, flexible financial professional, used to working in a fast-paced dynamic environment and willing to learn and grow in the role.
You are confident managing the broad range of finance-related activities within a small charity and understand the power of data to support business decision-making and organisational outcomes.
You are tech-savvy, and confident working with systems and manipulating datasets to generate insights and drive action.
You understand the importance of maintaining robust financial controls as well as timely and accurate management information.
You are an experienced business partner with the ability to drive financial engagement across the organisation. You are also organised and confident delivering process improvement and service quality both individually and through external partners.
Skills & Experience
Qualified or part-qualified finance professional eg AAT/CIMA/ACCA/ACA/CIPFA.
Experienced finance business partner, with proven track record of providing quality finance support and advice to colleagues, particularly non-finance colleagues.
Excellent financial accounting and reporting knowledge including UK charity SORP, accounting for grants, charity VAT rules and unrestricted vs restricted funds.
Confident user of accounting software packages and working digitally, preferably with working experience of Microsoft Business Central.
Confident and effective at delivering quality outcomes through external service partners.
Experience of improving and developing systems and processes.
Experience of maintaining a robust financial control environment.
Experience of working with auditors and other external advisors such as tax and legal.
Broad understanding current audit, tax, treasury and other regulatory requirements.
Confident user of MS Excel and preferably also PowerBI.
You will also be
Able to work at pace and sometimes to tight timelines.
Confident and skilled communicator across a range of stakeholders, verbally and in writing.
Empathetic, pragmatic and adaptable, with a solutions-mindset.
Hands on in your attitude and ability to find flexible solutions.
Proactive and take ownership of issues through to resolution.
Curious and open to new ideas and ways of working.
A team player but also confident working on your own.
Resilient and comfortable with navigating through change.
Aware of the rewards and challenges of working in the not-for-profit sect
- Location:
- London
- Job Type:
- FullTime
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