Job Description
You will be working in a medium sized team and will report into the Financial Controller. The role is very hands on and varied role with tasks that range from setting up new companies, filing taxation returns to providing management information to senior staff. You will be expected to hit the ground running and help design and implement new processes for a rapidly growing company.
The duties include:
- Compiling management information and reporting to the Directors
- Preparing monthly accounts including profit & loss, cashflow and balance sheet
- Supporting the Finance team in the budgeting process and managing purchase orders
- Preparing the Group management accounts to the Board on a quarterly basis
- Managing the cash flow reporting of the business, including weekly reporting, inter company transactions and proposals around treasury management
- Filing corporation tax returns
- Liaising with auditors