Engage as a proactive member of the UK Financial Control Team, championing financial control, providing a good standard of financial business partnering, financial insight and financial discipline.
Financial control for the UK Exams and teaching accreditation businesses
Management of global IELTS board fee reconciliation & recharge
Cash flow forecasting and reporting across the contracts and activities.
Manage internal audit and NAO audit preparation, co-ordination and follow up ensuring standards are met. Coordinate the provision of information to internal/external auditors. Monitor and report progress against audit recommendations.
Manage the process of global recharges once the process has been initiated by the business and provide advice and support on intercompany accounting.
Required Knowledge, Skills, and Abilities
Qualified accountant with post qualification experience
Experience in Financial Accounting, Financial Control and meeting deadlines
Experience of managing a diverse group of stakeholders in multiple locations
Experience of an ERP system
Experience of Microsoft tools including MS Excel, Word, Powerpoint and Sharepoint
Excellent communication skills – experience of conveying complex financial information in an easy to understand way
Working in international and multi-cultural organisations
Experience of working with senior managers and stakeholder engagement
Flexibility, independence and initiative to perform successfully in a rapidly changing environment