Interesting role, supporting the Board, Head of Finance and the Site Leadership Team and a play a key part in delivering best in class reporting, performance, control and governance frameworks.
Client Details
Leading PE backed business in the energy sector, based in North Nottinghamshire
Description
- You will deliver the monthly, quarterly and annual budgeting & forecasting processes and financial reporting for the leadership team, the business owners and external stakeholders, including project financing banks.
- Lead the day-to-day treasury management and cash operations, primarily focused on managing the 13-week cash flow. Support Board and Lender reporting, liquidity analysis and covenant reporting to Lenders.
- Support evaluation of business growth opportunities and debt financing options.
- Deputise for the Head of Finance on all financial accounting, financial planning and analysis, business partnering, tax and treasury activities and support the delivery of a robust control framework.
Profile
Qualified, commercial finance manager with strong controls and governance experience, cash flow management skills and an ability to manage a diverse stakeholder community
Job Offer
65-70k plus bonus. Hybrid working 50:50 office / remote split