Preparing management accounts and working with the Senior Management
Coordination of year-end financial statement audits, leading coordination with auditors and internal teams for the group's international subsidiaries, including preparation of financial statements
Monthly journal entries and balance sheet reconciliations for key financial areas in the management accounts including variance analysis and commentary
Upload of month end acquisition entity results and analysis of monthly results, liaising with the acquisition finance teams as required
Liaison with international subsidiaries to ensure local finance teams are supported to meet month end commitments
Supporting the Finance Manager with ad-hoc projects including monitoring financial processes and controls and identifying opportunities for improvements as the business scales
Required Knowledge, Skills, and Abilities
Ambitious and hard working
Part Qual or Newly Qual (ACCA, ACA, CIMA or equivalent)
Strong experience with management accounts
Good all rounder, great relationship builder
Outstanding communication skills both written and verbal
Able to liaise confidentially with senior stakeholders
Strong effective communicator with excellent presentation skills
Ability to work in a busy and changing environment