Management of the day-to-day financial performance of entities, ensuring efficient operation and compliance with contractual cash-flow and operational obligations;
Establishing and managing relationships with key stakeholders including investors, shareholders, lenders, service providers and asset managers
Internal quarterly management reporting, annual statutory reporting and assist the treasury team with the senior lender reporting
Management of a shared pool of processing and invoicing staff
Ensuring entities remain up to date and compliant with relevant legislation including latest accounting standards, VAT, Hedge accounting
Consolidation of Company clusters
Required Knowledge, Skills, and Abilities
Qualified Accountant (ACA, ACCA)
Experience of audit and accounts preparation for commercial clients
Strong academics
High attention to detail and ownership of own work