- Design and implementation of robust financial controls and procedures, particularly in relation to management accounts, cashflow and stock
- Design and implementation of regular financial and performance reporting, including monthly management accounts and daily / weekly KPI reporting
- Scoping and implementation of a new ERP system for the business
- Preparation of cashflow forecasting for the business and be responsible for managing working capital and cash (including overseeing credit control)
- Preparation of annual budgets and quarterly forecasts
- Oversight of the preparation of annual statutory accounts and tax returns by external advisors
- Delivery of treasury functions and maintaining relationships with the groups bank
- Ensuring up to date company books and records are maintained
- Supporting the board in assessing strategic development initiatives
- Fully qualified with recognised Accountancy qualification – CIMA / ACA / ACCA
- Technically and analytically astute, with high attention to detail
- Have experience of working within a manufacturing or engineering environment
- Have strong systems experience, ideally with experience of using Microsoft AX and implementing an ERP system
- A team player and self-starter, who is attracted by joining a fast-growing business at an early stage
- A high level of drive and resilience, able to work in a fast-paced environment and balance a wide and varied workload
- A creative thinker who enjoys solving problems
- A confident communicator who is happy to challenge
- Commercially aware, able to quickly develop an understanding of business drivers