Are you a qualified accountant looking to take on a pivotal role in financial reporting and cash management and happy to commit to a 12-month contract?
You will oversee cash flow forecasting, reporting, and analysis while managing key financing relationships and driving process efficiencies. This role offers the opportunity to work across a range of finance functions.
What You'll Do:
Maintain and improve cash flow forecasts. Prepare loan analyses. Manage quarterly VAT returns. Play a key role in month-end reporting and KPI analysis. Ensure compliance. Assist in managing short-, medium-, and long-term liquidity planning. Collaborate with internal teams and external financing partners within financial analysis and compliance reporting.
What You'll Need: You'll be a qualified accountant (ACA, ACCA, CIMA) with experience in financial reporting, cash flow forecasting, and treasury.
Why Apply? Join a forward-thinking team with a hybrid working model; part-time (3 or 4 days) is also available.
Please contact Richard Newcombe at Oakhill Recruitment. #J-18808-Ljbffr