The successful candidate will support the Group Financial Controller to ensure compliance with external statutory financial reporting requirements as well as providing financial information to management throughout the business.
This role will be a 3 month temporary contract initially with a strong opportunity to become permanent afterwards.
Key Responsibilities include:
Preparation of the annual report and year end accounts
Overseeing the production of monthly management accounts and general ledger reconciliations
Preparing monthly reporting pack and Group consolidation
Ensuring that accurate and timely financial information is provided to support our commercial and operational staff across the business
Working with the Group Financial Controller to produce budgets and forecasts
Carrying out financial analysis, reviewing complex data and providing detailed and meaningful reports for non-finance and finance audiences
Maintaining and developing treasury and cash management processes
Preparing/reviewing accruals, prepayments, salary reconciliations and audit schedules
Required Knowledge, Skills, and Abilities
ACA / ACCA / CIMA qualification Previous Financial Accounting experience Advanced MS Excel skills Excellent written and verbal communication skills