Job Introduction
Assistant Finance Manager (Treasury & Taxes)
Are you an ambitious finance professional looking for a role that combines cash forecasting, tax compliance, and financial reporting in a dynamic, fast-paced environment? Do you thrive on analysing financial data, improving processes, and collaborating with key stakeholders? If so, Compass Group UK & Ireland has the perfect opportunity for you!
We’re seeking an Assistant Finance Manager (Treasury & Taxes) to play a key role in cash flow management, tax reporting, and financial compliance while supporting IFRS16 and Group Reporting. This is a fantastic opportunity for a part-qualified accountant looking to expand their skills and grow within a leading organisation.
Why Join Us?
✔ Exciting Financial Exposure – Work on cash forecasting, tax submissions, and key financial processes.
✔ Professional Development – Gain experience in IFRS16, lease accounting, and group reporting.
✔ Process Improvement – Take ownership of key financial processes and drive improvements.
✔ Collaborative Culture – Work with finance and non-finance teams across the business.
Your Role – Key Responsibilities:
Treasury & Cash Flow Management
- Lead the weekly cash forecasting process, liaising with teams to analyse variances and improve forecasting accuracy.
- Investigate and implement process improvements in cash forecasting and reporting.
- Prepare workings and post loan interest for intercompany loans, ensuring balances align.
Tax Compliance & Reporting
- Prepare VAT returns for UK & Ireland entities and make journal entries in SAP.
- Lead the preparation and submission of PSA returns, ensuring costs are correctly journaled and backed up.
- Work closely with HMRC and internal finance teams to ensure tax compliance.
Financial Accounting & Reporting
- Support IFRS16 lease accounting and ensure accurate financial reporting.
- Assist with month-end processes, including group reporting and balance sheet reconciliations.
- Take on additional finance projects as required, supporting a high-performing team.
Who We’re Looking For:
We’re looking for a detail-oriented, analytical finance professional with a proactive and problem-solving mindset.
Essential Skills & Experience:
✔ Part-qualified accountant (final-year student preferred) from a recognised UK or international accountancy body.
✔ 3+ years of experience in an accounting role, with exposure to tax, treasury, and reporting.
✔ Strong Excel skills with the ability to manipulate and interpret financial data.
✔ Excellent communication and stakeholder management skills.
✔ Strong numerical and analytical abilities, with a keen eye for detail.
✔ Well-organised and able to meet deadlines in a fast-paced environment.
Ready to Take the Next Step in Your Finance Career?
This is an exciting opportunity to gain hands-on experience in tax, treasury, and financial reporting, with excellent career development prospects in a market-leading organisation.
Apply today and take your finance career to new heights!