- Prepare management accounts, including profit & loss, balance sheet and cash flow statements
- Ensure accurate accruals, prepayments, and reconciliation of general ledger accounts
- Preparation of the annual budget and monthly forecasting, providing accurate financial projections and variance analysis
- Analyse and manage costs across the business, identifying areas for cost-saving and operational efficiency improvements
- Provide detailed financial analysis to support strategic decision-making and improve profitability
- Monitor and report on inventory levels, ensuring accurate valuation of stock and efficient use of resources
- Support and maintain strong internal financial controls, ensuring compliance with regulatory and company policies
- Assist in VAT returns and ensure compliance with relevant tax regulations
- Support ongoing improvements and updates to financial systems and processes to enhance efficiency and accuracy
- CIMA/ ACCA Qualified, or later stages Part Qualified
- Experience of working in a Manufacturing/ Distribution business at a similar level with a track record in reporting and analysis
- Good experience of IT systems including good MS Excel skills
- Self-starter with good communication skills and a can-do attitude
- Continuous improvement and growth mind set
- Flexible working
- Day off for your birthday
- Career development opportunity
- Supportive, family orientated environment