- Manage the month end process, ensuring timely and accurate reporting. This will include P&L analysis and full balance sheet reconciliations
- Working capital management and cash forecasting
- Capital investment appraisal and review
- Lead the annual budgeting and monthly forecasting process to support the decision making process
- Build effective working relationships with cross functional business partners to drive process improvements, and delivering key business metrics and insight to enable informed decision making
- Ensure the business meets all its statutory and compliance obligations covering accounting, tax, and other external reporting
- Work with internal and external IT partners ensuring the finance system meets the business needs in delivering timely and accurate reporting
- Develop relationships with external contacts including auditors, and HMRC
- Review and continually develop and enforce financial policies and procedures
- Manage a small team and ensure appropriate training and development is undertaken
- ACA, ACCA or CIMA qualified accountant
- Proactive approach with an emphasis on improving controls & systems
- Ambitious with a desire to grow with the business