This key role will be responsible for accurate and timely financial reporting for the Group.
Reviewing monthly consolidation, including drafting sections of the Board report
Half year results consolidation and interim accounts preparation
Consolidating forecasts
Liaising with the tax advisors to ensure completion of tax returns and quarterly installment payments
Managing the cash position of the Group through accurate tracking, forecasting and management of bank drawdowns and deposits
Ad hoc projects / analysis as required
We are looking for candidates from the following background;
Qualified accountant with 3+ year post qualified experience
Ideally Big 4 / Top 10 trained
Strong technical accounting knowledge (IFRS)
Ideally experience in a listed group / consolidation environment
Experience with corporation tax returns
'Will do’ attitude, ambitious team player with a strong work ethic
Required Knowledge, Skills, and Abilities
• Qualified accountant with 3+ year post qualified experience • Ideally Big 4 / Top 10 trained • Strong technical accounting knowledge (IFRS) • Ideally experience in a listed group / consolidation environment • Experience with corporation tax returns • 'Will do’ attitude, ambitious team player with a strong work ethic