Harper May

Finance Manager / Bookkeeper

Harper May is proud to partner with a prestigious luxury retail brand, known for its elegance and exceptional quality.

Due to continued growth, they are now seeking a highly skilled Finance Manager / Bookkeeper to join their dynamic team.

This role offers a fantastic opportunity to work in a luxury retail environment and contribute to the financial success of a leading brand.

Key Responsibilities:


  • Financial Operations: Manage all aspects of financial operations, including cash flow management, monthly reconciliations, and financial forecasts.
  • VAT Return Management: Oversee the preparation and submission of VAT returns, ensuring accuracy and compliance with regulations.
  • Bookkeeping: Maintain accurate financial records, including journals, ledgers, and other necessary documentation.
  • Reconciliations & Forecasts: Conduct monthly reconciliations and forecasts to ensure all financial data is up-to-date and accurate.
  • Financial Reporting: Prepare and present management accounts and reports, highlighting key metrics and financial performance.
  • Tax Compliance: Ensure timely submission of taxes, including VAT, PAYE, and Corporation Tax, ensuring full compliance with HMRC requirements.
  • System Management: Utilize Xero accounting software to streamline financial operations and reporting.
  • Team Collaboration: Work closely with other team members to support smooth financial operations and ensure all financial activities are aligned with company goals.

Requirements:


  • Experience: 3–5 years in a financial management or bookkeeping role, ideally within the luxury, retail, or automotive sectors.
  • Qualifications: ACA, ACCA, CIMA, or equivalent qualification.
  • Tax & Compliance Knowledge: Strong understanding of VAT, PAYE, and Corporation Tax, with experience in tax compliance and regulatory requirements.
  • System Experience: Proficiency in Xero accounting software or similar platforms.
  • Skills: Strong financial accounting, reconciliation, and cash flow management skills.
  • Attention to Detail: High level of accuracy in all financial operations and reporting.
  • Team-Oriented: Ability to collaborate effectively with other departments and provide support as needed.

Working Environment:

Location: Office-based, 5 days per week





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