You will be responsible for the monthly management accounts, variance analysis and commentary, budgeting and forecasting, and balance sheet reconciliation.
You will also take the lead on monthly cashflow forecasting, assist in the development of internal controls, and provide insights into how processes and systems could be improved.
Required Knowledge, Skills, and Abilities
To succeed in this role, you will need strong Excel Skills, Strong Post-Qualified Experience (ACA,ACCA,CIMA or equivalent), a drive to develop your finance skills and increase your knowledge base, and the ability to communicate financial information to all levels of the business.