Job Role Overview
This key role focuses on driving financial success within our organization by delivering high-quality management accounts, budgets, and forecasts.
Key Responsibilities:
* Prepare monthly reports detailing company performance, along with 3-Year Business Plan forecasts
* Manage the treasury function to optimize cash-flow forecasting and mitigate foreign currency exposure
* Ensure accurate compliance with tax regulations, including VAT, payroll, and corporate filings
The ideal candidate will be highly organized, detail-oriented, and possess excellent commercial awareness and strategic thinking skills.
Requirements:
* Qualified Accountant with 3-4 years of industry experience
* Proven track record in preparing management accounts
* Strong commercial awareness and strategic thinking
* Able to analyze and interpret complex financial data
What We Offer:
* Opportunity to work independently and as part of a collaborative team
* Chance to develop your career in a dynamic and growing finance team
This is an exceptional opportunity for a skilled Accountant to join our expanding finance team and contribute to the company's financial growth and success.