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Apply NowNovumgen Finance Manager
Full-time Permanent
Hybrid
£40,000-£50,000
Novumgen – the group of Entrepreneurs and Scientists.
Novumgen is a diverse, integrated specialty pharmaceutical and biological company focused on investing, developing, manufacturing, and supplying innovative products that provide benefits to patients and prescribers. We are focused on delivering life-changing medicines that contribute safety and value to patients, healthcare institutions, and prescribers across the globe. As a company, Novumgen has made a lasting commitment to patient safety, introducing new products to our portfolio while maintaining unrivaled quality and exceptional service to the pharmaceutical industry.
We are currently looking to recruit a Finance Manager this role requires excellent knowledge and communication skills to ensure a smooth operation.
The Company is on a growth trajectory, and we are looking for candidates who can work in a fast-paced, busy environment. You will have an entrepreneurial mindset, be passionate about your work, and want to make an impact.
You will join a friendly, dynamic, and committed international team to deliver consistent results to tight deadlines.
Job Summary
The Finance Manager is a pivotal role within the organisation you will be responsible for ensuring the highest standards and will report to the Financial Controller. There is a lot of scope to grow and develop within your career.
Responsibilities
Financial Planning and Analysis
· Develop and manage annual budgets and forecasts.
· Analyse financial data to identify trends, variances, and opportunities for improvement.
· Provide financial reports and insights to senior management to aid in decision-making.
Accounting Operations
· Oversee the day-to-day accounting functions including accounts payable, accounts receivable, general ledger, and payroll.
· Ensure accurate and timely financial reporting.
· Maintain and reconcile balance sheet, trial balance, and income statement accounts.
Compliance Controls
· Ensure compliance with local, state, and federal regulations and standards.
· Develop and implement internal controls to safeguard company assets.
· Coordinate with external auditors and manage audit processes.
Team Management
· Lead and mentor the accounting team across different country
· Foster a collaborative and productive work environment
· Conduct performance evaluations and provide ongoing training and development
Strategic Initiatives
· Support strategic planning initiatives with financial insights and analysis.
· Participate in financial modeling and scenario planning for potential business ventures.
· Identify and implement system and process improvements to enhance efficiency and effectiveness.
Cash Flow Management
· Monitor and manage company cash flow.
· Optimise working capital and manage debt obligations.
· Forecast future financial positions and plan accordingly.
Audit
· HMRC, Tax Computation
· HMRC R & D Tax Claim
Skills and Qualifications
Personal Skills
· Qualified/working towards CIMA, ACCA qualification
· Strong Analytical skills
· Banking Experience
· Payroll calculation experience
· 5+ years of experience in a similar role
· Month end closing Experience
· SME experience (preferred)
· Commercial experience
· An eye for detail
· Advanced skills in Excel