Manage the day-to-day activities of the finance team
Manage the financial reporting for all other owner entities and perform intercompany reconciliations.
Ensure appropriate financial procedures, controls and structures are in place
Preparation of cash flow forecasts and managing present business cash flow
Completion of statutory returns to relevant government bodies
Budgeting, forecasting and monitoring of each department
Responsibility for the preparation and reporting of monthly management accounts
Preparation of statutory accounts for external auditors
Oversee tax compliance of company and other linked companies, to include VAT, CIS and employment taxes.
Ensure good governance and effective controls are in place and maintain a strategy for the management of risk
Work effectively as part of the Senior Management Team and providing take a 'whole company' perspective to managing issues
Contribute to the planning, agreement, and monitoring of financial targets
Assist and manage business acquisitions, collaborations, business ventures and other commercial opportunities and investments including evaluation of prospects, due diligence, negotiation, integration, and assessment
Adopt a Continuous Improvement approach to processes and practices
Contribute towards an overall company culture of sharing information and knowledge where there is a focus on solving issues as a team
Required Knowledge, Skills, and Abilities
Experience is essential Qualified accountant (ACA/ACCA/CIMA) Excellent IT skills especially Microsoft Office and Excel Strong communication skills to work alongside colleagues and external parties Ability to work effectively both alone and in a team environment Ability to work productively and flexibly under pressure while meeting compliance and commercial requirements and deadlines A minimum of 5 years' experience working within a finance environment at manager or senior manager level Experience using SAGE