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Financial Controller
  • United Kingdom - Surrey - Sunbury -
2 years ago
Financial Controller
Full Time
Job Description
  • Ensure all Group reporting is completed according to group reporting timetables and in compliance with group accounting policies
  • Support MDs in business analysis and key business decisions: annual operating plans, forecasts, variance analysis, cost reductions, profitability enhancement, Capex preparation, planning & forecasting
  • Liaise with the local accounting functions to ensure accuracy and timeliness of financial information and efficient accounting operations
  • Produce and analyze local financial reports (including revenue Recognition, accruals calculation, reserves calculation and adjustments) and KPIs and monitor company performance against Annual Operating Plans/Forecasts.
  • Report back explanations for major deviations
  • Review levels of working capital in the company to ensure it is kept at optimum levels in order to maximize cash flow
  • Proactively support and challenge the business in order to drive the business forward and reach the financial objectives set
  • Take a leading role in the preparation of Annual Operating Plans and Forecasts
  • Work together with the MDs and the Cluster Controller to ensure all local legal, tax and statutory reporting requirements are fulfilled including liaising with local and group auditors and professional advisers
  • Ensure adequate financial controls and review systems in the company to ensure accuracy of reported information and minimize risk of fraudulent or otherwise inappropriate activities.
  • Implement Group Finance initiatives in the company, monitor progress and report back status and deviations from plans
  • Act in a professional manner always when representing company
  • Credit Collections management including credit limit determination, AR overdue tracking, settlement with external customers, cooperation with law firms engaged in collection
  • Planning cash flow for future periods and reporting cash flow and plans for cash flow to the parent company
  • Working closely with Sales and Project Management for Projects profitability tracking
  • Supporting the Annual Physical stock check together with the Procurement and Logistics Manager
  • Ensure the ERP system provides the necessary information for company reporting
  • Support the company in its maintenance of quality standards
  • Contract negotiation and management of business utility contracts
  • Work closely with Group IT to manage local IT systems, resources and infrastructure
  • Occasional travel to the head office in Italy will be required

Required Knowledge, Skills, and Abilities
  • ACCA/CIMA or similar professional accounting qualifications
  • A minimum of 5 years of management position experience in accounting and financial controlling
  • Strong knowledge of bookkeeping rules and international accounting standards along with commercial acumen
  • Multi-site and international experience
  • Project Accounting experience
  • Flexibility and ability to meet short deadlines
  • Ability to work independently as well as to manage teams to meet objectives
  • Strong interpersonal skills and excellent analytical skills
  • Great enthusiasm and motivation
  • Advanced/Intermediate MS Excel & MS PowerPoint skills
  • Establishing productive, professional relationships with key colleagues
  • Ability to take the initiative and challenge status quo
  • Strong sense of ownership and responsibility for meeting the requirements of the role

Reference no: 100226

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