This role is an exciting opportunity for an analytical candidate with a strong technical background with excellent exposure internally and the chance to progress your career
Role:
Preparing financial reports to assess financial performance of the business
Analysing financial information across the business, supporting profitability and growth through recommendations
Producing company statutory accounts, making observations of the financial state of the business
Preparing month end and year end reports, reviewed by Head of Finance
Cash flow management, re-modelling and forecasting with internal Managers
Preparing and submitting VAT/Tax & pension returns
Managing reconciliation accounts, reporting and reconciling of balance sheets
Working closely with commercial team to ensure accurate cash flow forecasting
Assisting the Financial Controller implement efficient and diligent financial practices
Making suggestions for system/process improvements where needed
Required Knowledge, Skills, and Abilities
ACA/ACCA qualified with a strong financial accounting background Practice trained (ideally) OR strong industry Financial Accountant will be considered Analytical mindset with strong cash forecasting experience Highly adaptable and looking to work for a driven, stable business