Financial budgeting, strategy planning for whole Group
Monitor the cash-flow for the business, completing monthly cash-flow forecasts
Producing monthly financial accounts and performance reports for SMT, Board and Investors
Supporting investment raising efforts and managing on-going investor relationships
Managing relationships with key external clients and stakeholders including external audit
Reporting to Audit and Risk Committee
Working closely with CEO, SMT and Board in driving strategy and performance
Required Knowledge, Skills, and Abilities
CIMA/ACCA/ACA Finance Director or similar role with 5+ Years' experience Financial budgeting and strategy planning Business planning Knowledge of UK GAAP, and FRS102 Investment raising Advanced Excel skills Experience of SAP Accounting or similar tools to drive business improvement Company Secretary Ability to work well under pressure and in a fast pace environment Self motivated with extensive management and leadership experience