- Oversee monthly management accounts, bank and intercompany reconciliations, and variance analysis
- Ensure compliance with UK accounting standards, manage fixed assets and depreciation
- Support budgeting, forecasting and strategic planning, including monitoring performance and proposing corrective actions
- Manager cash flow and liquidity,develop forecasts, and implement working capital management strategies
- Process monthly payroll for US & UK entities
- Ensure compliance with VAT, PAYE, Corporation Tax and manage key HMRC filings
- Support external audits and maintain strong financial controls
- Identify cost saving opportunities, collaborate on budgeting and expenditure control
- Continuously improve financial processes and systems
- Oversee tax compliance and planning, including VAT and PSA filings
- Ad hoc tasks as requested by the Finance Director
- Qualified accountant (CIMA, ACCA, ACA qualified)
- Advanced Excel skills
- Experience managing payroll is essential
- Excellent written and spoken communication skills
- Proven track record of advising senior stakeholders on financial matters
- Proactive, well-organised, and self-motivated
- An understanding of the US financial, banking and payroll processes is desirable but not essential
- Previous experience with Xero is desirable
- Competitive base salary
- Discretionary bonus
- Private healthcare, subsidised gym membership, health cashplan, travel insurance & more