Manage the month-end process and reporting requirements (including flash, monthly management accounts, KPI reporting, etc.)
Manage weekly reporting suite
Production of monthly balance sheet reconciliations to include within monthly management accounts in line with financial reporting requirements
Facilitate budgeting and forecasting process, ensure that suitable models are in place
Provide financial support to FD and management team (including financial analysis, financial support to drive the business etc.)
Line management responsibilities
Responsible for the development of the internal controls framework
Production of weekly cash flow forecasts
A bank signatory, able to authorise bank payments as and when required
Production of Statutory accounts
Monitoring and understanding of changes in UK regulatory and compliance requirements which will have an impact on the UK business (e.g. making tax digital, payment practices reporting)
Productions of tax returns with assistance from corporate tax advisors
Review monthly VAT returns
Requirements
A fully qualified Accountant
Experience working as a Financial Controller
Strong personality, able to work to tight deadlines in a fast paced environment
Ability to drive change in the business and influence people
Strong excel and systems experience
Required Knowledge, Skills, and Abilities
• A fully qualified Accountant • Experience working as a Financial Controller • Strong personality, able to work to tight deadlines in a fast paced environment • Ability to drive change in the business and influence people • Strong excel and systems experience