Budgeting and Forecasting - Support budgeting and forecasting processes. Statements of Account (SOA) - Manage all statement of accounts and payment follow-ups. Financial Planning and Analysis - Analyse the financial impact of promotions and offers and develop and implement financial strategies, analyze financial data, and prepare reports and forecasts. Track and manage fixed assets. Reconciliation - of all daily retail sales collections, vendor reconciliations and process payments. Maintain accurate inventory journals and stock reconciliations and oversee cash and bank payments, receipts, and reconciliations. Perform intercompany reconciliations. Stakeholder Communication - Liaise with internal, external, and tax auditors. Inventory Journals - Create and post daily inventory journals, oversee the month-end inventory journals, stock counts, and closing processes. Process inventory and expense invoices (Accounts Payable) and oversee payroll control and journal postings and manage provisions, prepayments, and related journal entries. Cash Flow Management - Oversee cash flow projections, manage daily cash balances, and ensure liquidity. Ensure accuracy of vendor, customer, and product master data. Profile
Experience in a similar role is desirable. Experience in the FMCG sector is desirable but not essential. Delivery of accurate weekly & monthly KPI reports. Excellent communication and interpersonal skills. Analytical with problem-solving skills. Deliver on deadlines with accuracy. Proficient IT knowledge/skills particularly in Excel. Attention to detail and be able to follow tasks to the highest standard. Highly self-motivated individual with a "can do" attitude. Attentive, inquisitive, result-oriented, organised, and proactive. Approachable and enthusiastic. Job Offer
Salary: £60,000 10% Bonus Private Healthcare 25 days holiday Pension Income Protection Life Assurance Hybrid Working: 3 days in office and 2 from home
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