Trinity House Group are working exclusively with one of the UK's fastest growing organisations within it's sector, they are looking to recruit an enthusiastic and ambitious candidate with a 'cando’ attitude, working with some great people and in return they offer a first-class rewards package.
The Role
An exciting opportunity to join a proven and fast-growing business as a Commercial Finance Manager with specific responsibility for stock, fixed assets, property and transport costs. This is a key role within the finance team and provides exposure to senior stakeholders across the business.
Key responsibilities
- Manage the month-end processes for stock, fixed assets, property and transport costs, ensuring accuracy and timeliness. This includes P&L and balance sheet reporting.
- Provide stakeholders with insight on stock and weeks cover, alongside capital commitments.
- Responsible for preparation of forecasts and budgets for these areas.
- To support and develop one direct report.
- Provide investment reviews on proposed and completed capital projects and other business cases.
- Support the wider commercial finance team around daily and weekly trading reporting.
- Provide business partnering support to other areas of the business, including, IT, Transport and Facilities.
- Support the implementation of new BI tools within the team and across the business.
- Improve ways of working to support the growing business.
- Ensure controls within stock and fixed assets are robust.
About you
- Experience in accounting for Fixed Assets and Stock, understanding the key principles for these areas.
- Strong communicator with the ability to share financial insight with the business.
- Strong data and analytical skills with experience handling high volumes. Knowledge of Power BI would be useful.
- Experience of leading a small team through coaching and engagement.
- Proven business partner and trusted collaborator.
- Appetite for change and bringing ideas to life.