You will be responsible for producing complex financial information for the group, highlighting variances and issues that could impact business performance.
Specific duties include:
Providing management information such as month end results, forecasts and KPIs.
Producing management accounts for companies within the group.
Daily cash flow management, with the ability to forecast cash flow.
Stock accounting.
Taking responsibility for the treasury function.Ensuring timely returns such as PAYE and VAT.
Reference no: 32387
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