Group financial operations:
Financial Oversight:
Ensure the efficient functioning of all finance operations, including payroll, accounts payable, accounts receivable, and cash flow management. Monthly Reporting:
Own the monthly management reporting process, maintaining compliance with loan covenants through effective communication with lenders. Ad Hoc Analysis:
Prepare insightful ad hoc management reports to support and inform key business decisions. Process Improvement:
Assist the team in enhancing and implementing robust financial processes and control frameworks. Banking and Treasury:
Manage/ work with banking relationships and oversee the treasury function to optimise financial resources. Statutory Compliance:
Help prepare annual statutory accounts and corporation tax returns, ensuring compliance with relevant regulations. Audit Coordination:
Assist with external audit teams to facilitate smooth and accurate audits.
M&A transaction support and advice:
Transaction Management:
Assist on M&A transaction processes from initial stages through to completion. Target Analysis:
Help evaluate potential acquisition targets and provide comprehensive reports to the directors. Investment Reporting:
Prepare detailed investment reports and forecasts for funders' credit approval, ensuring informed decision-making. Due Diligence:
Conduct financial and commercial due diligence, working closely with legal advisers to ensure thorough evaluation. Acquisition Onboarding:
Manage the onboarding of new acquisitions by updating financial processes and controls to align with group standards.
Qualifications & Experience
Qualified Accountant (ACA/ICAS/ CIMA/ ACCA). 3+ years PQE required. Strong technical skills. Ideally experience in M&A transaction support. Knowledge of personal and corporate tax. Please note, this is a 5 days a week in the office role, with flexibility. Candidates that apply need to also demonstrate an outstanding record of achievement in their career to date.
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