Managing the monthly reporting cycle and providing consolidated reporting through to management, investors and external parties such as banks
Ownership of support center and holding company management accounts (and associated forecasting) including debt, equity and lending related transactions
The role will lead the transactional and credit finance teams which when combined incorporate credit control and be responsible for driving efficiencies in this area and integrating the back-office functions of acquisitions as the Group develops.
Leading and developing of the Group Accounting team including monthly consolidated accounts, fixed asset management and group reporting.
Leading and developing the Group Payroll function
Managing and developing financial controls and procedures across the Group and ensuring compliance with external regulators, investors and bank requirements.
Leading the year end process managing the audit and delivery of statutory accounts
Ownership of the daily commercial banking relationships, banking approvals and associated reporting.
Ensuring all banking facilities are fit for purpose with streamlined purposes for all accounts. Oversight of client money provision including compliance with relevant regulations
Ensuring the group structure of legal entities is maintained with clear purposes for each legal entity.
Support the Group Finance Director with insightful information for investor reporting, cashflow management and preparation for the annual audit.