- Consolidating Group's financial accounts
- Cash management
- Preparation of monthly reporting packs for Board
- Assisting annual budget process and reforecasting
- Lead role in annual financial audit and preparation of financial statements
- The right person will be willing to be part of a small friendly team and work onsite 5 days a week.
- Ideally you will have had exposure to working with stock and managing HMRC audits but this is not a must have.Â