Preparing monthly Business Performance Pack and associated analysis
Liaising with Finance Directors across all of the brands within Specialty Broking to standardize reporting and ensure a consistent approach across the trading teams
Supporting the business with activity (including asset purchases and investment hires) and tracking performance following acquisition
Preparing annual budgets, quarterly re-forecast and long-term plans
Tracking and implementation of initiatives related to integration / synergies
Coordinating with Financial Control to help understand cash flow, particularly the impact of cash collections from income