- Preparing financial reports, VAT returns, and statutory accounts under IFRS, ensuring accuracy and adherence to regulations.
- Assisting in closing processes, reconciling general ledger accounts, and managing reporting timelines effectively.
- Overseeing cash flow forecasting, managing fixed assets, and supporting treasury operations, including bank accounts and transfers.
- Working with auditors on external and internal audits, assisting with corporation tax returns, and ensuring compliance with filing obligations.
- Analysing key cost drivers, inventory, and material usage, identifying opportunities to reduce costs and improve efficiency.
- Holder of ACCA/ACA accounting qualification
- Strong practical knowledge of VAT returns
- Previous experience managing cash flow, capital expenditure and fixed assets
- Experience using ERP/MRP software
- 25 days holiday plus bank holidays
- 5% employer pension contribution rising to 8% with length of service
- Private healthcare
- Life assurance
- Our of pocket expense reimbursement