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FInance Manager

Job Description - FInance Manager

Our Values: Excellence; Innovation; Collaboration; Ethics; Sustainability 



We are a multi-disciplinary consultancy delivering services across the UK within the construction, transportation, highways, and infrastructure sectors. Our business has been built on exceptional people and commitment to service excellence. 



Our in-depth knowledge of the areas in which we work in, allows us to provide considered advice on development and investment strategies, risk management, procurement strategy and design development. 



As a business that designs and delivers projects, from office buildings and homes to entire public realms and streetscapes, we understand that reflecting the needs of the communities we serve is key to long-term success - not just for our clients but for those that use and interact with these spaces. 



We pride ourselves on our culture of supportive growth; providing mentoring opportunities and assisting with both professional and personal development. We know our people are the heart of our success and we really love what we do – we work smarter, together. 



Opportunity 


This is a hands-on and varied role that combines financial management, reporting, forecasting, process improvement, and team leadership. You'll be the first point of contact for financial queries across the business and will work closely with senior stakeholders to provide insight that supports effective decision-making.



About You


We're looking for a finance professional who combines strong technical expertise with excellent leadership and stakeholder management skills.


You will ideally have:



  • Qualified or part-qualified accountant (ACCA, CIMA, ACA or equivalent).

  • Previous experience in a Finance Manager or similar leadership role.

  • Strong knowledge of management accounting, budgeting, forecasting and cash flow management.

  • Experience managing finance teams and developing team capability.

  • Excellent analytical and problem-solving skills.

  • Strong attention to detail and a commitment to accuracy.

  • Confident communication skills with the ability to influence stakeholders at all levels.

  • Advanced Excel skills and experience working with financial systems.

  • A proactive approach with a focus on continuous improvement.








Key Responsibilities



  • Prepare monthly management accounts, including profit and loss, balance sheet and cash flow reports, ensuring alignment with budgets and forecasts.

  • Act as the primary point of contact for all internal and external finance-related queries.

  • Oversee daily finance operations, including accounts payable, accounts receivable, billing and banking activities.

  • Manage and analyse the general ledger, ensuring the accuracy and integrity of financial records.

  • Authorise and process bank transfers.

  • Manage supplier payments, monitor cash flow and maintain a strong cash position.

  • Lead cash flow forecasting and working capital management.

  • Prepare and submit VAT returns, ensuring compliance with relevant regulations.

  • Maintain accurate cost rate and billing rate tables.

  • Produce timely and insightful management information, including:

    • Billing summaries

    • Variance analysis

    • Work in Progress (WIP) reports

    • Cash flow forecasts

    • Debtor and creditor ageing reports



  • Ensure weekly bank reconciliations and finance lender reporting requirements are completed.

  • Develop, maintain and improve financial controls, processes and procedures.

  • Partner with department leaders to support business planning, budgeting and forecasting.

  • Analyse financial performance, trends, costs and revenue to identify opportunities and risks.

  • Manage and develop the finance team, including Senior Finance Officers and Finance Assistants.

  • Drive continuous improvement in financial systems and reporting capabilities.

  • Support the Financial Controller with external audits, tax compliance and banking relationships.

  • Assist with the implementation and monitoring of financial controls to ensure compliance with legislation, regulations and internal policies.



Knowledge



  • Strong understanding of UK financial regulations, VAT and statutory compliance.

  • Knowledge of budgeting, forecasting, cash flow and project accounting.

  • Familiarity with invoice finance facilities and financial risk management.



Skills & Abilities



  • Strong leadership and people management skills.

  • Excellent analytical, problem-solving and decision-making abilities.

  • Advanced Excel and financial systems skills.

  • Strong stakeholder management and communication skills.

  • Ability to translate complex financial data into clear business insights.

  • Experience with finance reporting tools, dashboards and process automation.




Our Commitment to Inclusion


NRP is proud to be an inclusive employer. We value diversity of thought, background and experience, and we are committed to creating a workplace where everyone feels welcomed, supported and able to do their best work. We encourage applications from all backgrounds and will make reasonable adjustments throughout the recruitment process and in the workplace where required. If you need any support or adjustments to apply or to perform the role, please let us know, we’re happy to discuss this with you.



An excellent benefits package will be offered to the successful applicant which will include



  • Competitive Salary

  • Private Healthcare

  • Workplace Pension

  • Training and Development

  • Sponsorship of Professional Membership

  • Eligibility for a performance related bonus


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