Preparation of weekly cash flow forecast information
Variance analysis of financial reports
Preparing quarterly VAT returns and liaising with HMRC
Attending monthly management meetings and liaising with stakeholders
Ad-hoc financial analysis and reports as requested
Required Knowledge, Skills, and Abilities
ACCA/CIMA part qualified Strong Balance Sheet experience is essential and may be tested Experience producing management information Keen attention to detail Strong Excel skills Ability to work autonomously and within a team Able to work in a fast-paced environment Strong written and verbal communication skills