A lead role in the finance team with senior stakeholder liaison.
Drive exceptional financial reporting, budgeting, and monitoring.
About Our Client
Our client is a major player in their sector. Known for their high-quality products they lead with integrity and a passion for innovation.
Job Description
Lead the preparation of Group Consolidated P&L, Balance Sheet, and Cash Flow
Coordinate and review executive reporting to the Board
Own and enhance the Group forecast model (P&L, Balance Sheet, Cash Flow)
Champion Sustainability Reporting for the group
Ensure compliance with bank covenant reporting to our Lenders
Deliver the monthly MI pack for the entire Group
Manage the external audit process, liaising with auditors and internal Financial Controllers.
Prepare annual financial statements
Oversee group tax returns and coordinate information collection for accurate CT600 preparation.
Lead and coordinate Off Shore and UK team members
Support future M&A activity or refinancing as needed.
The Successful Applicant
ACCA/ACA/CIMA qualified accountant with 1-2 years post-qualification experience
Excellent communication skills across all business levels
Proven ability to coach, lead, and deliver results
Expertise in preparing management accounts and costing activities
Proactive problem-solving skills and ability to work independently
Ability to manage workload effectively.
What's on Offer
A competitive salary plus bonus and benefits
Hybrid Working
A supportive and collaborative work environment where innovation is valued.
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