- Cash Flow Management – Building and maintaining robust cash flow forecasting to ensure financial stability.
- Management Accounts – Producing accurate and timely monthly management accounts.
- Budgeting & Forecasting – Leading the budgeting and forecasting processes to support strategic decision-making.
- Year-End & Compliance – Working closely with external accountants and auditors on year-end accounts, audits, and tax compliance.
- Process Improvement – Streamlining financial processes and reporting to support the company’s growth.
- Experience in a manufacturing or similar environment is highly desirable
- Ability to work autonomously with oversight for the full function.
- Confident communicator who can build relationships across the Group and internationally.
- A hands-on, proactive approach – comfortable being the go-to finance person in the business.
- Strong financial acumen with excellent Excel skills.
- The ambition to grow with the business, taking on increasing responsibility as they expand.