- Improving and maintaining financial accounting systems, processes and controls
- Budgeting and forecasting for multiple entities within the group
- Production of month end reporting pack with commentary
- Review and develop all month end closing activities including general ledger maintenance, balance sheet recs and cost allocations
- Preparation of year end statutory accounts and returns
- Cashflow forecasting for multiple entities
- Liaison with bank to support treasury allocationsÂ
- Setup and management of multiple bank accounts
- Support in the management of Group’s portfolio reporting including valuations
- VAT returns
- Oversight of preparation of tax computations
- ACA or ACCA qualified with a minimum of 2 years PQE - Essential
- Have previous experience working within an SME or standalone senior finance role - Essential
- Have a good knowledge of both Excel and SAGE - Essential
- Have excellent business partnering and non finance stakeholder management skills - Essential
- Have the ability to work autonomously within a varied and hands on role - Essential
- On site parking within a beautiful office location in North Yorkshire
- Company Bonus
- Company Pension
- 4 day working week