Management of the finance function and overseeing the finance team Day to day bookkeeping Preparation of monthly P&L, balance sheet and cash flow complete with commentary and analysis against budget Supervision of balance sheet reconciliations Preparation of budgets, forecasts and cash flows, ensuring the inclusion of all senior management in the process Timely production of statutory and financial reports Managing the audit process and liaison with external personnel Continuous improvements of the financial controls to streamline processes and reduce errors and inconsistencies Driving improvements in the MI Continually reviewing all supporting financial information to identify efficiencies Ensuring compliance deadlines are met for Tax and VAT returns Fixed assets register maintenance/depreciation Prepare and post monthly journals Prepare quarterly VAT returns and submission About You:
Ability to take full ownership of leading an audit process, financial reporting, PAYE, VAT, cash flow, forecasting, budgeting A good communicator who can lead a team Willing to be very hands-on as it is an end-to-end role Upon review, successful candidates will be contacted directly.
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