- Assist in preparing periodic financial pack for the directors
- Provide insightful analysis and explanations of key drivers in performance to aid decision making
- Preparation of weekly cash forecasting and assist with effective treasury management and reporting
- Preparation of the consolidated group budget and re-forecast processes in accordance with objectives and timings
- Review of statutory accounts and corporate tax computations
- Provision of technical support and ensuring companies comply with all regulatory and accounting requirements
- Involvement with bank reporting requirements
- Accounting systems and process improvements
- Assistance with integration of acquisitions
- Qualified accountant ACA, ACCA or equivalent
- Outsource experience is essential
- Self-starter with ability to work using own initiative
- Highly organised individual with a passion for accuracyÂ
- Good communicator at all levels