Are you a qualified accountant with a strong commercial background and a knack for cash management?
You can join a thriving, compassionate organisation dedicated to people’s well-being and guided by seven core values that prioritise strong relationships with customers and suppliers.
This interim role (3-6 months) is based in Derbyshire, with a hybrid working model (2 days in the office).
About the Role:
The company is navigating a busy financial year-end and focusing on key projects, particularly cash flow and cash management strategy. In this pivotal role, you will:
- Analyse and enhance cash flow throughout the business, identifying opportunities to generate more cash
- Contribute to the development of a robust financial and cash management strategy
- Support automation initiatives to streamline processes and increase efficiency
- Produce group-level statements of cash flows with precision and insight
- Collaborate with various teams, engaging in significant business partnering
- A recognized accounting qualification (e.g., ACA, ACCA, CIMA)
- A strong commercial acumen with experience in cash management and financial strategy
- Solid technical skills, including process automation and producing group-level cash flow statements
- Excellent communication skills to effectively collaborate and add value across the business
If you thrive on making a tangible impact and are available at short notice, we’d love to hear from you.Â
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