Opportunity:
Great opportunity within this £60m T/O group of companies to support the FD in a business partnering capacity. The role is initially for 6 months due to the current incumbent taking a sabbatical. This role is a combination of monthly management accounts along with supporting key stakeholders across the different business units in terms of budgeting, profitability, streamlining of processes and general financial support/advice. The role is remote first with some requirement to visit the various depots throughout the quarter.
Role:
- Drive the continuous improvement of end-to-end accounting practices.
- Month end - preparation of Financial statements (P&L and Balance Sheet focus) together with relevant variance and ad hoc analysis
- Guiding & supervising working capital management and production of cash flow forecasts.
- Pro-actively participate in planning sessions, forecasts and annual Budget exercise.
- To act as a general supporting resource to the two local MD's in ensuring that the accounting and financial control measures adopted by the company are of an acceptably high standard.
- Other ad-hoc projects relating to efficiency and productivity improvements.
- Ensure balance sheet is fully reconciled and all elements understood, there should be no surprises
- Implement financial governance and controls to instil strong control environment.
- Oversee the processing of the accounts receivable and payable, with responsibility for timely cash collections and effective payment management.
- Oversee the processing of monthly VAT and all HMRC interaction
- Ownership of reporting to various external stakeholders e.g. lenders, banks
- Actively manage cash flow on a daily basis and forecast cash balances. Free cash
- Support the business with continuous improvement initiatives on controls and procedures.
- Business analysis support on an ad - hoc basis
Required Experience:
- Deadline driven with excellent time management and attention to detail
- A positive can do attitude to work, with good problem solving skills is essential to succeed in this role
- Experience of working in the Plant hire industry would be an advantage but not a prerequisite
- Fully qualified Accountant with either ACA/ACCA/CIMA qualification with at least 3-4 years relevant experience of working in Industry
- Strong analytical/problem-solving skills and good experience in financial modelling
Please contact Phil on or email