Job Overview
This is a highly varied position in which you will be responsible for all financial reporting entities and play a key part in supporting business development projects and growth strategies.
Key Responsibilities:
* Finalise monthly management accounts including cost analysis.
* Preparation of monthly financial reports and board report.
* Prepare/update annual budgets and rolling forecast models
* Preparation of cashflow forecasts and ongoing cashflow management.
* Assist with strategic business planning.
* Responsibility for annual statutory financial statements and managing the relationship with external auditors.
* Ensure compliance with all financial reporting requirements and tax deadlines.
* Implement controls and procedures to improve operational efficiency.
* Monitor spending, recommend ways to reduce costs and increase profitability.
Requirements
To succeed in this role, you will need strong financial skills and analytical thinking.
Qualifications:
* Advanced degree in finance or accounting.
* Proficient in financial software and systems.
Benefits
We offer a competitive salary and benefits package, as well as opportunities for professional development.
Working Environment
You will work in a dynamic and fast-paced environment, collaborating with cross-functional teams to drive business success.