- Consolidate data for group management reporting and prepare monthly accounts with KPIs.
- Develop and present cash flow forecasts, highlighting risks and opportunities.
- Perform financial performance analysis and assist with budgeting and forecasting.
- Ensure financial obligations are met and manage month-end processes, including P&L and balance sheet reviews.
- Prepare and submit VAT returns, ensuring compliance.
- Maintain Fixed Assets register and assist with statutory reporting.
- Oversee invoice processing and manage payment runs.
- Ensure timely invoicing and efficient cash collection.
- Support process improvement and provide ad-hoc assistance as needed.
- You will be a qualified accountant or qualified by experience, with relevant work experience
- Have a broad understanding of VAT
- Strong excel skills - quick and accurate manipulation of data
- Excellent communication skills