Complete month end procedures for the plc cost base and group consolidation
Day-to-day cash administration and cash flow/liquidity reporting
Ownership of internal controls, procedures and documentation, as well as compliance with the Group Financial Control Framework
Help prepare and deliver high quality annual and half year reports
Take ownership of certain disclosure notes in the financial statements
Act as key point of contact for the external audit team
Prepare forecasts and annual budgets for the plc cost base
Review work prepared by the Finance Graduate and Group Financial Accountant where appropriate
Ensure that all governance and compliance requirements are adhered to and all reporting and reviewing activities required by regulation are carried out to the standards required
Required Knowledge, Skills, and Abilities
Strong track record of delivering effective reporting under pressure and to tight deadlines
Strong analytical skills and attention to detail
Work well within teams and proven ability to engage with a variety of stakeholders
ACA or equivalent with a minimum of two years post-qualification experience