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Displaying 1-3 of 3 jobs matching your search for European VAT Manager Jobs.
Diverse public sector organisation with an extremely commercial outlook is looking to recruit a Senior Financial Accountant to join their successful team for at least six months to cover maternity leave. (...)
Maintain the fixed asset register to reflect expenditure on completed works, acquisitions and disposals
Prepare and review VAT returns for a number of large subsidiary accounts prior to submission to Group.
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Birmingham.
Permanent.
£40000 - £45000 per annum + healthcare, pension, 25 days a/l
04/11/2008
My client is a large Plc with offices based in Birmingham. Due to organic growth, a vacancy has arisen for a Group Financial Accountant to report directly to the Group Finance Director.
Key responsibilities of the role are as follow: - Management Reporting - consolidation of groups monthly management accounts, including KPI's and reporting commentaries to the board - Financial Planning and Modelling - Control the annual budgetting cycle, develop long term planning model - Treasury Management - co-ordinate groups treasury activities, including cashflow and capital management - Financial Reporting - consolidation reporting of groups half year interim results and full year preliminary results, control of statutory accounts process and reporting of annual accounts under IFRS - Corporate Reporting - Lead on any other external reporting ie Companies House - Taxation - Lead on all tax compliance and tax planning work, acts as CT and VAT specialist - Projects - ad hoc project work
You will be a qualified Accountant, ideally ACA gained within a role in Practice with 1/2 years experience in management accounting in industry.
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I am currently recruiting on behalf of my client, an innovative financial services organisation, for an interim Financial Controller. (...) Based in Camberley the key responsibilities include:-
* Ensure efficient and timely delivery of relevant and accurate financial information to management across the group, reporting actual results, budgets and forecasts * Put appropriate internal controls in place to ensure reconciliation and accuracy of numbers and compliance with management and statutory reporting requirements, liaising with auditors as necessary *Ensure all corporation tax and VAT requirements are met on a timely basis *Manage and control cash flow, borrowings and bank deposits, providing appropriate reporting to management, including cash flow projections.
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