- Established 3 years ago with a relaxed, adaptive and entrepreneurial feel
- £25m Group Revenue across multiple sites in the UK
- Gained plenty of recognition since launch & own premium sites across London & the UK
- Ambitious Owners, constantly looking to expand their portfolio
- Develop and implement financial strategies to support the company’s goals
- Prepare detailed financial reports, forecasts, and budgets
- Conduct financial analysis to identify trends, variances, and areas of improvement
- Oversee the preparation and management of the annual budget
- Monitor and report on budget performance, ensuring alignment with organisational objectives
- Ensure accurate and timely preparation of financial statements
- Key initial project will be to bring in house the month-end management accounts process
- Implement controls and processes to complete month-end
- Coordinate month-end, quarterly and year-end close processes
- Monitor cash flow and liquidity to ensure the company can meet its financial obligations.
- Develop cash flow forecasts and strategies to maintain optimal cash reserves.
- Liaise with external auditors, tax advisors, and regulatory bodies.
- Lead and mentor the finance team, fostering a collaborative and high-performance culture.
- Advise senior management on the financial implications of business decisions
- Qualified CIMA/ACA/ACCA Accountant, either from Practice or industry
- Previous experience in a month-end finance role, ideally within an SME taking control of everything
- Passionate about continuous improvement with a commercial mindset
- Excellent Excel skills and the ability to process complex data sets
- £60,000 - £65,000
- Bonus
- 25 days holiday
- 50% of food and drink across all sites