MICHAEL PAGE INTERNATIONAL FINANCE Salary

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  Addlestone
200 DASHWOOD LANG ROAD BOURNE BUSINESS PARK ADDLESTONE KT15 2NX ENGLAND
TIN: 02319166
Rating of the company
based on 0 evaluations
28 reviews in total

Earnings on positions in MICHAEL PAGE INTERNATIONAL FINANCE

MICHAEL PAGE INTERNATIONAL FINANCE is looking for employees for positions:

senior account manager

Requirements

  • account Manager
  • senior
  • ACCA/ACA/AAT Qualified

Responsibility

  • working efficiently within a team
  • helping tech start ups throughout their journey
  • will be responsible for overseeing accounts and bookkeeping work

transport manager

Responsibility

  • day to day running of the finance department managing all financial activities

technical writer

Requirements

  • thorough knowledge of the R&D sector and legislation
  • confident and friendly demeanour
  • excellent communication skills
  • inquisitive nature and comfortable asking open-ended questions
  • quick learner with the ability to grasp new concepts swiftly
  • capable of building strong relationships with clients
  • adherence to deadlines
  • self-sufficient and able to work independently

Responsibility

  • A UK-based company that offers an array of services and solutions to businesses across various industries. Amongst their services is R&D, supporting clients in navigating the complexity of R&D Tax Credit Claims. Located in Castle Donnington
  • translate client-provided information into technically sound R&D reports for submission to HMRC

finance manager

Requirements

  • finance Manager
  • charity
  • management Accountant
  • interim Finance Manager - Industry leader - hybrid
  • housing
  • group
  • transformation
  • management Accounts Financial Reporting Staff Management Cashflow Forecasting

Language

  • french
  • english
  • german
  • japanese

Benefits

  • company car
  • savings plan

Salary

  • salary

Responsibility

  • assisting the UK Finance Manage
  • supporting the Group Strategy Director with strategic growth initiatives such as investment proposals, strategic business plans, project management of deliverables
  • production of key financial information for the Charity
  • management of a team 5 accountants and staffing
  • corporate Finance reporting
  • supporting the M&A team with investment origination, appraisal and deal delivery for acquisition or divestment processes
  • assist with the provision of product costing data to import into the new ERP system
  • month/quarter end procedures and producing financial reporting pack

financial controller

Requirements

  • reporting
  • qualified Accountant with SME exposure
  • financial Controller
  • BOMs
  • finance Director
  • finance
  • intelligence
  • manufacturing

Language

  • english
  • spanish

Salary

  • salary

Responsibility

  • in charge of the monthly closings, the forecast and the preparation of the budget
  • oversee all balance sheet reconciliations and processes and own the more complex account reconciliations
  • delivery of monthly management and financial accounts for the Group
  • ensure the validity and completeness of the financial information within the UK Distribution perimeter
  • line management of the accounting and operations team
  • management of finance & credit control teams
  • ensures NO submissions are timely, based on the GH-issued reporting timetable, and meet required quality standards
  • reporting to the CEO and Group Finance Director, you will have complete responsibility for the finance function locally

finance business partner

Requirements

  • commercial
  • analytical and problem-solving skills
  • budgeting
  • great opportunity for a qualified or QBE finance business partner
  • profitability
  • management accounts
  • qualified
  • finance

Benefits

  • mutual
  • profit sharing

Language

  • english

Salary

  • salary

Responsibility

  • understand performance drivers, identify areas of under/over performance and identify opportunities to address
  • manage the process of quarterly and annual reconciliations for service charge receivable, with support from the Property Administrator
  • managing the month-end close process
  • provide insightful management information reports to senior leadership team to drive decision making
  • producing analysis and insights e.g., for board packs and other management information to aid their respective MD in running their business
  • proactively identify opportunities for efficiency, collaboration and cost reduction on an on-going basis
  • partner to Senior Management and budget holders of multiple central business areas
  • conduct financial analysis, including variance analysis, budgeting, forecasting, and trend analysis

management accountant

Requirements

  • management Accountant/ Finance Manager/ Financial Accounting
  • supply chain
  • management Accountant
  • finance Manager
  • qualified Accountant with some Events exposure
  • qualified Accountant
  • reporting
  • budgeting

Language

  • german
  • french
  • english

Salary

  • salary

Responsibility

  • responsible for the preparation of monthly management accounts
  • preparation of monthly management accounts, including P&L, balance sheet, and cash flow statements
  • supporting decision making through delivering accurate analysis and insight
  • production of management accounts for the company and appropriate analysis
  • take responsibility for timely and accurate booking and reporting
  • gathering and analysing trends within an organisation's finances
  • perform day-to-day accounting duties
  • financial planning and budgeting

financial accountant

Requirements

  • financial accountant
  • reporting
  • analytical
  • chartered Accountant
  • profit & Loss Management Accounts Balance Sheet TAX Returns
  • tax
  • financial Accounting
  • general Ledger

Language

  • german
  • english
  • italian
  • spanish

Benefits

  • company car
  • savings plan

Responsibility

  • assist in the preparation of year-end accounts, ensuring accuracy and compliance with relevant accounting standards and regulations
  • support the month end close process
  • manage the completion of UK GAAP statutory accounts
  • implementation of statutory compliant accounting practices
  • prepare and analyse financial statements, ensuring compliance with accounting standards and regulatory requirements
  • prepare journals monthly and ensure an accurate and timely delivery of month end and year end close
  • review and approval of all CAPEX purchase forms
  • maintaining the General Ledger and accuracy of the trial balances

manager

Requirements

  • relationship Management
  • financial Planning and Analysis / FP&A /
  • asset Manager
  • interim R2R Manager - Global Business - Hybrid working model
  • export
  • financial Reporting Manager
  • project Management
  • tax Advisory

Language

  • english
  • spanish
  • dutch
  • german

Benefits

  • company car

Salary

  • salary

Responsibility

  • assisting with the preparation and submission of VAT returns and Intrastat reports
  • production of Statutory and Financial accounts
  • to contribute to a range of advisory projects focussed on financial reporting matters
  • financial ownership for the provision of Cost of Goods Sold actuals reporting and forecasting
  • ensuring compliance with VAT regulations and guidelines
  • responsible for country reporting requirements
  • production of financial statements for all subsidiary companies
  • budgeting and forecasting for future revenues and margins based on revenue recognition accounting principles

accountant

Requirements

  • accounts Assistant
  • charity Accounts SORP Qualified Accountant Year End
  • capital Accounting
  • 18 months FTC - Corporate Tax Accountant
  • interim VAT Accountant - Global & Established Business - Market Leader
  • intercompany Accountant
  • treasury Accounting
  • finance

Language

  • french
  • german
  • english

Responsibility

  • preparing year-end financial statements for a wide range of clients
  • supporting on internal control system coordinating implementation of system across business entities
  • take ownership of the financial model for the New Museum business plan, updating it for latest information
  • produce local statutory accounts
  • on a monthly basis reconcile IAS results with the Risk department's monthly P&L reports and work to resolve/explain issues or differences
  • you will be completing year-end accounts, tax returns and ad-hoc duties for a range of companies and sectors
  • calculating corporation and personal tax liabilities, whilst coming up with tax planning ideas
  • providing support to various departments to help improve current processes

National average salary

2950 £

Average salary in this company

5458 £