Oversight and accountability for the Treasury function including enhancing existing processes for cash flow and working capital forecasting to improve accuracy of forecasts and to maximise receivable.
Day to day management of the A/P function to ensure suppliers are paid on time. Working closely with team members to ensure successful achievement of objectives and to enhance the team’s overall capabilities.
Managing the Financial accountant ensuring task are met to deadline, review of work and enhance development expertise.
Financial accounting
Periodic review of trial balance and key balance sheet accounts before the closing down of period end.
Preparation of the balance sheet and cashflow for period end.
Ensure the Financial ratio model is updated to with the Financial control on periodic bases. This will include scenario and sensitivity analysis.
Periodic review of GRNI, Creditors and Debtors accounts with Financial controller.
Ensure compliance with Tax Regulation including corporation tax, VAT and other taxes.
Recommend to management any updates to accounting policies.
Budget & Forecast:
Balance sheet and cashflow preparation of the 3-year Business Plan, annual budgets and regular forecasts during the year. This also includes quarterly forecast for submission.
Preparation of key balance sheet accounts
Required Knowledge, Skills, and Abilities
A Qualified Accountant ACA or ACCA or equivalent, with demonstrable hands on experience in financial accounting / balance sheet oversight A combination of practice training, coupled with extensive experience in an industry environment, likely at Group Financial Accountant, Statutory Accountant, Finance Manager or Financial Controller level Prior experience of managing a team Has worked in demanding and change orientated environments SAP, Hyperion experience, strong Excel