- Production of monthly management accounts
- Management of the fixed asset registers across multiple subsidiaries
- Ensure best practice of financial reporting across all Group entities
- Cashflow management
- Manage the accounts payable function
- Bank reconciliations
- Provide financial analysis and insight to support decision-making and growth strategies
- Support process improvement and system implementations across Group
- Assist with the preparation of year-end financial statements
- Intercompany recharges and reconciliations
- Ad-hoc duties
- At least two years’ experience in a similar role
- AAT Qualified or ACCA/CIMA Part Qualified
- Strong Excel and IT skills
- Boast a tenacious, problem-solving attitude
- Enthusiastic team player with a positive, hard-working approach
- Excellent attention to detail
- Well organised and self-motivated with an ability to prioritise and manage own time efficiently and effectively
- Excellent written and verbal communication skills
- Strong knowledge of accounting principles
- Study support and progression pathways
- 25 days’ annual leave plus bank holidays and birthday
- Request additional holidays
- Enhanced pension scheme
- Flexible start/finish times
- Healthcare schemes
- Subsidised lunches
- Gym memberships