- Prepare and consolidate financial reports across business units, ensuring accuracy and clarity for senior management.
- Manage the balance sheet to accurately reflect the company's financial position.
- Oversee bank accounts and cash flow forecasting, collaborating closely with the Managing Director.
- Enhance the internal control environment by identifying and implementing improvements.
- Lead financial management services for central functions, including budgeting, forecasting, and performance reviews.
- Ensure compliance with processes such as audits is successfully delivered.
- Provide effective leadership and development.
- Implementation of appropriate financial controls and governance and driving continuous improvement of accounting practices
- CIMA, ACCA, ACA Qualified
- Strong verbal and written communication skills
- SME experience with a hands-on approach