We’re seeking a skilled finance professional to take ownership of a variety of financial reporting and operational tasks. In this role, you will ensure that internal standards and processes are maintained while driving improvements across daily financial operations.
Key Responsibilities• Execute routine financial reporting and manage day-to-day operational tasks• Ensure adherence to established policies and procedures• Oversee cash handling procedures and monitor cash reserves• Perform bank reconciliations and manage clearing processes• Support and mentor junior finance team members• Coordinate both invoicing and receivables functions• Prepare monthly financial statements, forecasts, and variance analyses• Reconcile balance sheets and compile comprehensive audit documentation• Analyze monthly financial results, key performance indicators, and departmental cost controls• Collaborate with senior management on annual budget preparation• Produce income statements, balance sheets, and cash flow reports for timely corporate submissions• Assist with internal and external audits and liaise with consultants and financial institutions• Share best practices with the broader finance team• Prepare and file VAT and local tax returns within required deadlines
What We’re Looking For• A part-qualified accountant with demonstrable financial management experience• Experience in the hospitality or service-based sectors is an advantage• Strong communication skills, capable of presenting financial information clearly to non-financial stakeholders• A keen eye for detail with the ability to identify issues and propose practical solutions• Excellent systems skills and a commitment to continuous improvement• A personable, positive, and dynamic professional who thrives in a collaborative environment and meets deadlines with a "can-do" attitude
If this opportunity aligns with your expertise, we would love to hear from you. Please get in touch to discuss how you can contribute to our finance team.