Work closely with the finance team to deliver the monthly and statutory reporting requirements of the Group.
Deputies for the Group Financial Controller as required.
To be an advocate of the Company values in dealing with internal and external stakeholders.
External Financial Reporting
Prepare and control the interim and year-end statutory accounts for Group and Subsidiary entities.
Provide technical accounting support, including new accounting standard impact.
Liaise with external auditors.
Assist with reviewing critical judgment areas.
Group Financial Reporting
Prepare and analyze the monthly P&L packs and review the business performance commentary.
Assist with Group Board reporting, including Revenue trend analysis, Group Balance sheet, Statutory and Underlying P&L’s and other ad hoc requirements.
Develop risk, governance and control frameworks within the Group.
Support the on-going development of reporting outputs and review process, identify and develop process improvements and investigate solution.
Oversee the Group’s tax reporting obligations including review of quarterly Group VAT returns.
Assist with weekly cash reporting including dynamic daily forecasting on a rolling quarterly basis
Assist in the preparation of direct and indirect cash flow forecasts on both a systematic and ad hoc basis
Assist with cash flow reports and variance analysis for inclusion in board reporting, as needed
Review & sign off on monthly bank reconciliations, ensuring timely resolution of reconciling items.
Maintain loan schedules and execute associated accounting entries for interest accruals, payments & note redemptions