Job Description
You will be responsible for the Finance Accounting Team, which manages all aspects of the groups’ statutory and management reporting, treasury and cash management, payroll and taxation.
Responsibilities:
- Full responsibility for managing the end-to-end operational finance function, including financial reporting, banking, accounts receivable, accounts payable, compliance, payroll and tax
- Managing the Finance Teams in London and overseas
- Producing monthly management accounts including consolidation, cash flow forecasting and balance sheet reconciliations
- Managing tax compliance in the UK, Italy and Greece, including VAT, payroll tax, withholding tax and corporation tax
- Development of Interco transfer pricing modelling to have in place by year end
- Manage external relationships with auditors, accountants, banking providers, merchant service providers, payment solution providers (among many others)
- Support the CFO in the preparation and presentation of financial information to the Private Equity Investor
- Working closely with the Commercial Finance team to support the production of the P&L budgets and forecasts, this role though fully owns the forecast cash flows and balance sheets production
- Mentor, motivate and assist in the development of the finance team members