This provides an opportunity for you to come into the firm and put your mark on the financial department, allowing you to improve reporting, processes and systems.
The business in question is a large employer within the Chesterfield area with a fantastic reputation and great employee feedback.
Job Specification:
Audit preparation including creation of audit files & production of consolidated statutory accounts and tax comps.
Balance sheet control
Cash flow forecasting and reporting
PAYE, VAT & Corporation Tax
Maintaining Group fixed asset registers
Internal audit
Production of monthly management information
Budget and forecast preparation
Provide support and cover to finance and administration teams on an ad hoc basic
Required Knowledge, Skills, and Abilities
ACA/ACCA qualified Excellent analytical skills & fantastic financial acumen. Interpersonal Savvy: Demonstrated ability to influence across the organization - ability to explain complicated challenges to different areas of the business. A “can do” attitude with a strong sense of ownership. Excellent team player. Excellent communication skills. Comfortable working across all levels of the organization. Driven and passionate about delivering results. Willingly takes ownership of problems and opportunities. Strong commitment and high level of integrity. Ability to manage multiple priorities and deadlines and operate efficiently under continuous change