Manage day-to-day financial performance of entities, ensuring efficient operation and compliance with contractual cash-flow and operational obligations
Managing stakeholder relationships (investors, shareholders, lenders, service providers, asset managers)
Internal quarterly management reporting, annual statutory reporting and assist the treasury team with senior lender reporting
Management of shared pool of processing and invoicing staff
Ensuring entities remain up to date and compliant with legislation including latest accounting standards, VAT,
Consolidation of Company clusters, including conversions for group reporting
Required Knowledge, Skills, and Abilities
ACA or ACCA qualified from a mid-tier Accountancy Practice
Mix of audit and accounts preparation
High attention to detail and ownership of own work
Strong communicator able to work in busy and thriving team