- Identify improvements within management reports within company requirements.
- Understand company assets and liabilities.
- Ensure compliance with financial regulations and standards
- Preparing management accounts and financial reports include analysis across finances of the business.
- Oversee Accounts Receivable and Accounts Payable.
- Manage, produce, and monitor cashflow forecasts.
- Prepare cash and bank reconciliations as required.
- Manage Payroll & expenses ensuring information is correct for submittal.
- Manage the companies Insurance policies ensuring renewals are completed and cover agreed sums.
- Vat Returns to including EU and UK
- Support with coaching and training within team.
- Qualified/Part Qualified CIMA or ACCA
- Must have experience within similar role management accountant, Finance manager, Head of Accounts/Finance.
- 23 days holiday plus bank holidays
- Monday-Friday 9-5pm with hybrid working.