United Kingdom - Buckinghamshire - Milton Keynes -
2 years ago
£ 60000 Per year
Finance Manager
Permanent
Job Description
Developing and implementing Group Treasury policies to ensure that Group treasury activities are optimized, including regular review of Currency exposures, FX currency trading, reporting of cash position and outlook.
Responsible for Cash Management including providing commercial advice on cash issues.
Provide Group Board, Executive and other key personnel with monthly financial information, together with other relevant financial performance information and indicators
Continual improvements across financial reporting and financial processes within the Group Accounting Framework.
Prepares and presents the monthly foreign currency hedge/forward contract position to EMEA SMT
Required Knowledge, Skills, and Abilities
Qualified ACCA or ACA or CIMA
High levels of accuracy and attention to detail.
Good IT skills, including Excel and corporation tax software.
Able to work independently.
Good interpersonal skills with the ability to influence key stakeholders.