- Ensure the accurate and timely production of statutory accounts, bank reports, and other external financial reports
- Manage balance sheet and cash flow within the budgeting and forecasting process
- Lead the transformation, standardisation, and automation of Finance shared services, including payroll, Accounts Payable, Accounts Receivable, cash, and treasury
- Drive balance sheet control, ensuring the accuracy and integrity of financial data
- Establish and manage a robust risk management framework, overseeing all risk and assurance activities
- Lead the Group’s tax and treasury functions, overseeing a Tax Accountant and building strong relationships with banks and HMRC
- Serve as the main contact for audits and manage the relationship with external auditors
- Lead and develop a high-performing finance team, fostering a culture of continuous improvement
- Qualified accountant (ACA, ACCA, CIMA)
- Strong technical accounting background – solid knowledge of IFRS, GAAP, and Tax; rigorous around Balance Sheet control. A top tier practice background would be advantageous
- Experience of process review/improvement/re-engineering, with an mindset for excellence and exceptional professional integrity
- Excellent leadership qualities, with gravitas and the ability to inspire and challenge teams and individuals toward optimal performance
- Confident, robust and highly motivated