Month end routines including trial balance, input to management accounts and analysis and variances, balance sheet reconciliations
Identify results, trends, and financial forecasts and present them to relevant stakeholders
Work closely with the sales team and project management team regarding invoicing and delivery
Manage cash flow by tracking transactions and regularly reviewing internal reports
Support the business in commercial negotiations and contract reviews
Make certain that financial reporting systems comply with government regulations and legislation
Collaborate with auditing services to ensure proper compliance with all regulations
Develop budgets and financial plans for company based on research and data reports
Review all financial plans and budgets regularly to look for cost reduction opportunities
Work with the Group CFO in presenting reports to senior executives and board members
Work with Group Finance in supporting Group Finance projects
Support forecasting process for rolling forecast and/or annual budget
Responsible for sales ledger, purchase ledger, payroll and credit control in company
Ad hoc projects
IAM is our specialty and our successful team members will be required to pass BPSS and UKSV SC screening, arranged during the induction period.
Required Knowledge, Skills, and Abilities
Bachelor's degree or master's degree in accounting, business, economics, finance, or experience equivalent. Qualified in either ACCA, ACA or CIMA. Proven experience in finance management. Excellent communication skills and interpersonal skills. Able to work in small company and entrepreneurial environment, with willingness to adapt and pick up whatever is needed. Strong leadership qualities. Compliance oriented and business savvy. Excellent analytical skills.