Preparation of group management reporting packs on a monthly and quarterly basis including consolidated management accounts, budget vs actuals, project progress, cash-flow forecasts and equity reconciliation.
Oversee the finance department ensuring smooth operation, accuracy and driving improvements including ongoing development and implementation of procedures and processes.
Ensuring all company taxes are managed and paid.
Review and update financial appraisals and models.
Produce and present information to assist strategic decision-making.
Manage statutory reporting requirements.
Management of the year-end statutory accounts preparation process.
Liaise with external accountants to confirm fees for statutory accounts.
Preparation of year-end group audit files, liaising with group auditors to ensure compliance.
Required Knowledge, Skills, and Abilities
ACA/ACCA/CIMA qualified
At least 12 months experience in a role with similar responsibility
Ability to work to tight deadlines with a high level of accuracy and analytical ability
Able to work competently as part of a team as well as independently
Excellent written and verbal communication skills
Competent in Microsoft Excel, Word and PowerPoint to an advanced level