- Create, construct and run Management Information (MI) reports to ensure products are providing value to consumers.
- Complete accurate and timely financial reconciliations to support the management accounting and reporting processes.
- Work with the Product Review team to produce financial & non-financial reporting for products & schemes.
- Support the HCF, CFO and Group Financial Controller in the production of accounting information.
- Liaise with external partners to obtain accurate data for financial and management reports.
- Identify opportunities for, and contribute to, continuous improvement of processes & reporting.
- Other financial and non-financial analysis, modelling and reporting as directed by the HCF.
- Advanced Excel skills.
- ACCA/CIMA PQ/Finalist or QBE.
- Broad experience of using standard accounting/ERP systems such as SAP, Oracle, Sage, etc.
- Extensive experience in financial reconciliations and management reporting
- Experience of business partnering within a professional work environment.