Job description
Group Accounting and Finance Manager
Petcover
Haywards Heath, West Sussex
Full-time, Permanent
In office/hybrid mix
Salary Commensurate with experience
Company Overview
Operating globally, Petcover is an independently owned and operated pet insurance company that has been insuring pets for over 40 years. We are proud to have insured hundreds of thousands of pets, focusing on understanding the owner and pets’ needs with a dedication to delivering exceptional customer service.
We offer a comprehensive range of cover for cats, dogs, horses, and exotic pets, with the widest range of policy options and cover levels to suit. As pet specialists, we can provide an unrivalled knowledge of pet health and care.
The Group operates in multiple jurisdictions and is currently expanding. Finance is recruiting for value-add Team Members to join based in Haywards Heath to support the growth. The Group has a regulatory reporting element in each jurisdiction and is Consumer focused on the products it sells.
Key requisites for role:
- Qualified accountant with at least five years’ experience, ACA, ACCA, CIMA.
- The ability to work in UK without employer visa sponsorship.
- Advanced excel skills, an absolute prerequisite, SQL skills also would be of benefit.
- Strong systems skills and experience and understanding automation of business processes.
- Understanding of financial numbers and impact on key KPI’s.
- Ability to work with large data sets volumes, identify issues and remediation suggestions.
- Excellent work ethic and communications skills.
- A willingness to take tasks from start to finish with value add.
- Team Member ethos and culture where support is given and received as needed.
Role and Reporting Lines:
This role reports directly to the Group Chief Financial Officer and indirectly supports, through business partnering, the Group Management Team in each of the Group Business units in each jurisdiction.
Role deliverables:
- Acting as mentoring Team Member to Group Finance Team.
- Timely and accurate production of monthly management accounts and related key insights and KPIs.
- Preparation of month end packs with reconciliations for each jurisdiction with value add.
- Identification of business processes and controls gaps and suggestions for improvements.
- Preparation of reconciliations for bank, debtors, creditors, payroll, tax, regulatory reporting and all related items.
- Oversee day to day accounting processes, payments, invoices, intercompany transactions, payroll, taxes, treasury.
- Timely cash forecasting and treasury monitoring.
- Regulatory reports preparation and reconciliation.
- Taxes compliance preparation.
- Treasury reports preparation.
- Supporting the annual budgeting process.
- Participate in Projects across the Group as needed.
- Participation in Group audits, annual accounts preparation in multi jurisdictions.
- Transfer pricing analysis and recommendations.
- Other ad hoc duties as they arise.
Expected start date:
Immediate
Job Types:
Full-time, Permanent
Salary:
£48,000 - £53,000 Commensurate with experience
Benefits:
Competitive salary
Generous annual leave allowance
Flexible schedule
Schedule:
Monday – Friday, 8-hour shift
Job Types: Full-time, Permanent
Salary: £48,000.00-£53,000.00 per year
Benefits:
- Sick pay
Schedule:
- 8 hour shift
- Monday to Friday
Application question(s):
- Only applicants who are resident in UK and are fully authorised to work in the UK at time of application will be considered for this position. Please confirm here that both criteria apply to you?