Ensure the accuracy, integrity and timeliness of all Financial Reporting including management accounts, budgets, forecasts and capital expenditure. This will involve:
Assist in ensuring all cash, net debt and working capital positions are optimised by the coordination and management of the businesses cash, net debt management and forecasting procedures.
Assist in ensuring that financial systems meet the requirements of the business and help to drive changes and improvements where necessary. This will involve ad hoc audit and review of current processes to ensure all controls are being adhered to and meet the needs of the business.
Assist in ensuring accounting policies comply with the relevant Financial Reporting Standards and the group accounting policies are complied with, implement best practice accounting procedures and ensure that appropriate financial controls are in place.
Our client is looking for candidates with the following;
The key attractions for potential candidates;
Ability to work from home/flexible working, bonus scheme, 25 days holiday, parking, pension and an inclusive and positive approach to their employees
Reference no: 9561
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