Produce Financial Statements including Profit and Loss Statements, Budgets, Cash Flows, Monthly Management Accounts, Variance Analysis and Commentaries. Oversee other aspects of Financial Operations including but not limited to Bookkeeping, Bank Reconciliations, Payroll, VAT Returns, Sales and Purchase Ledgers, Credit Control, Petty Cash and Employee Expenses. Support with setting company budgets and forecasts. Ensure compliance with all Financial Regulations. Monitor all emails within the Finance Inbox. Assist with the preparation and presentation of the Monthly Board Pack to company management. Assist with implementing long-term Business Strategies to achieve the company's objectives. Required Skills and Experience:
A vibrant and engaging personality that fits well with our dynamic team. Prior experience in a similar role. Excel literate - proficient with spreadsheets and accounting software programs. Strong organizational skills. Target-driven and results-focused individual. Excellent communication skills and a positive attitude. A proactive approach and the ability to adapt to different roles as needed. Please send a copy of your CV for immediate consideration.
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