Accounts Manager Centre
Job in
Belfast, County Antrim, BT1, Northern Ireland, UK
Listed on 2026-09-17
Listing for:
VanRath
Full Time
position Listed on 2026-09-17
Job specializations:
-
Finance & Banking
Financial Compliance, Financial Reporting, Accounting Manager, Accounting & Finance -
Accounting
Financial Compliance, Financial Reporting, Accounting Manager, Accounting & Finance
Job Description & How to Apply Below
Accounts/Finance Manager (Belfast City Centre) - Exclusive to VANRATH
Join a forward-thinking organisation at the heart of Belfast's business community, where your expertise can make a real difference. Our client, a well-established group servicing multiple sectors, is seeking a dedicated Accounts/Finance Manager to lead their finance team and drive strategic financial management.
Salary/Benefits- Competitive salary, aligned with experience
- Pension scheme and flexible benefits
- Opportunities for professional development and career progression
- Supportive and collaborative team environment
This innovative company operates across a range of industries, delivering tailored financial solutions. With a strong reputation for operational excellence, it boasts a committed team led by senior management. The role reports to the Finance Director, offering an engaging environment to develop leadership skills and contribute to business success.
About you- Qualified Accountant (ACA / ACCA or equivalent) with at least 2 years' post-qualification management experience
- Strong analytical capabilities with advanced proficiency in MS Excel
- Experience leading and managing accounting teams
- Knowledge of Netsuite and Sage Payroll systems
- Excellent communicator able to convey complex financial information clearly
- Assist senior management in providing strategic financial oversight over multiple business areas
- Oversee payroll processing and reporting for the group
- Lead the preparation of management accounts and revenue reports
- Manage the accounts team, ensuring system integrity and financial controls
- Support year-end account preparation and audit processes
- Reconcile ledger accounts, including bank, assets, and liabilities
- Ensure compliance with statutory reporting requirements such as PAYE and VAT
- Manage accounts receivable and payable functions, supporting procurement activities
- Implement process improvements to enhance financial reporting and internal controls
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