Preparation, analysis, and presentation of monthly management accounts for the Senior Management Team
Management of work in progress reporting and revenue recognition, calculate and validate all project accruals and deferred revenue
Preparation and calculation of quarterly & annual commissions
Development and control of business critical KPI's
Management of project profitability and variance analysis/reporting
Management of the Profit & Loss account and Balance Sheet including profit, tax and net asset planning
Preparation of budgets, forecasts, re-forecasts quarterly and any ad hoc financial information required by the group
Review, implementation & monitoring of all financial controls in business transacting
Assist with group finances & treasury function
Analysis of all statutory accounts in conjunction with the Finance Manager
Assist and support with the annual audit, draft tax computations & consolidation Assist and support all imports and exports from CRM system to Finance System, being part of a month end reconciliation
Liaison with all relevant professional advisors on all financial matters (auditors, tax advisors)
Required Knowledge, Skills, and Abilities
Strong Management or Project Accounting background
Qualified or Part Qualified Accountant (CIMA, ACCA,ACA or Similar)
Experience of project accounting and Revenue Recognition/WIP accounting - preferred
Worked in fast paced environment, with a flexible attitude
Business Partner approach - Building and maintaining strong relationships with all interactions
Experience of having dealt with Auditors and other key 3rd parties