Key responsibilities:
-Preparation of month end duties and bank reports
-Preparation of submissions and ad-hoc reports for shareholders
-Create forecasts for acquisition teams
-Run the annual and in year budget process
-Cash flow forecasting
-Analysis of business performance creating high quality outputs that can be used in board reports and senior meetings.
Experience and Skills:
-Intermediate Part qualified CIMA/ACCA
-Experience of working within a fast paced environment
-Track record of interpreting data to support business needs.
-Show initiative and find ways to improve processes in finance and wider business users
Reference no: 9752
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