About the Role Oversee revenue reconciliation, cash and bank functions, credit control, and master data management while ensuring strong financial processes and compliance. Reporting to the Finance Director, this role focuses on driving efficiency, data integrity, and operational improvements to support strategic objectives.
Key Responsibilities
- Manage and guide teams handling revenue reconciliation, credit control, and cash management.
- Oversee master data accuracy across financial systems and ensure timely transaction processing.
- Enhance processes through automation and identify opportunities for efficiency.
- Maintain robust financial controls and ensure compliance with audit requirements.
- Provide insightful analysis of transactional data and lead process optimisation projects.
- Prepare KPIs and actionable reports to share with senior stakeholders using tools like Power BI.
What We're Looking For
- Proven experience leading finance operations, including transactional processing and credit control.
- Strong analytical and communication skills with a focus on process improvement.
- Expertise in financial controls and compliance