Manage Supplier Invoices and supplier payment agreements.
Manage Banking relationships and Cash Flow Transactions and Reporting:
Inter-company transfers
Cash Flow Forecasting.
Preparation of monthly Reports
Preparation of all monthly accounts for subsidiary.
Monthly control account reconciliation.
Manage relationship with our external Auditors.
Year End Statutory Accounts preparation and submission.
VAT Submissions / EU submissions.
Manage Fixed Asset register, depreciation and amortisation.
R&D Claims.
Stock analysis and stock takes.
Ongoing review of processes to identify and implement improvements.
Management of all Expenses.
Responsible for insurances and other contracts.
Carry out company secretarial tasks
HR responsibilities
Other duties to be provided on the job description on application
Required Knowledge, Skills, and Abilities
ACCA/ACA/CIMA or equivalent Experience in a similar role High level of competence and integrity Experience in preparing detailed management accounts and reports Confidence and leadership skills Commercially astute Willingness to develop Ability to lead a team Excellent communication skills Excellent IT skills