An exciting organisation experiencing strong growth. Description
Ongoing support to the post-acquisition integration activity and in particular making sure the financial control and reporting environment is robust and remains fit for purpose as the business matures under new ownership. Preparing monthly performance reports for the Board covering financial, operational, and commercial key performance metrics - with deep dives into special matters as and when necessary. Working with the asset financial accountant to analyse variances in actual performance versus forecasts. Day to day management of the funding package - including cash and liquidity management and accessing new funds as and when required. Preparing regular submissions to the lending banks and closely monitoring covenants at all times. Responsible for the preparation of statutory accounts and shareholder reports. Management of tax affairs. Preparing dynamic forecasts for the business covering the next 12 months in detail and a higher-level rolling prognosis for a further five years beyond this building out and from the acquisition model. Working closely with the MD to review the ongoing commercial performance of contracts. Special projects to support the broader finance agenda. Profile
Experience
Qualified accountant with a minimum of 10 years PQE. Prior experience with corporate and/or project finance will be a distinct advantage - covering assets held in complex investment structures. Previous experience of preparing and presenting information to a broad range of both internal (to board level) and external stakeholders. Prior experience of managing financial transition (systems and processes) and financial transformation to best in class financial and business partnering services. Specific skills
Rich blend of Financial Analysis and Planning (FP&A) experience, coupled with a solid understanding of long-term corporate/project finance. Ability to articulate financial forecasts and plans to sophisticated financial investors and stand up to a high level of financial scrutiny. Very good knowledge of statutory accounting and finance concepts. Good working knowledge of tax and treasury matters. Strong financial analysis, modelling skills, and report writing skills. Personal characteristics
Excellent organisational and self-management skills. Ability to drive the financial agenda. A strong team player with the confidence to challenge and liaise with colleagues at all levels of seniority. A good communicator, self-starter, team player, and self-motivated. A completer-finisher who can consistently deliver to a high standard. Job Offer
A competitive daily rate.
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