- Manage and support the credit control, receivables, and payables teams, ensuring accuracy and efficiency.
- Oversee the preparation of monthly management accounts, including P&L statements, balance sheets, and cash flow reports.
- Support in budget preparation and monitoring, providing financial forecasts and variance analysis.
- Maintain accurate financial records, conduct bank and Xero reconciliations, and oversee accounts payable/receivable.
- Monitor and project cash flow to ensure financial stability.
- Identify cost-saving opportunities, track expenses, and enhance financial controls.
- Ensure compliance with financial regulations, assist with audits, and implement process improvements.
- Develop KPI dashboards, work closely with department heads, and provide financial insights to support decision-making.
- Experience in financial reporting, budgeting, and variance analysis.
- Leadership skills with experience managing finance teams.
- Proficiency in Xero and other accounting software.
- Strong analytical and problem-solving abilities.
- Excellent communication skills and the ability to work collaboratively.
- A fantastic opportunity to work within a dynamic and growing organisation.
- A role that offers career development and progression.
- A supportive team environment where your skills and expertise will make a real impact.