If you have demonstrable management experience, are comfortable with cash flow forecasting and are looking to join a supportive team within an established business, you would be encouraged to apply.
Your key responsibilities will include:
Maintain and develop banking relationships and manage service providers. Report daily cash flow to senior leadership. Deliver cash flow forecasting and budgeting. Support complex customer account reconciliations. Manage a team and ensure accurate allocation of customer receipts. Oversee credit facilities and manage financial instruments. Monitor and report on financial covenants. Prepare month-end reconciliations and financial reports. Automate financial processes and improve reporting systems. Explore and implement alternative payment methods.
Skills and experience you'll ideally have:
Qualified or Qualified by Experience Accountant desirable. Leadership capability and experience managing teams. Experience in cash flow forecasting & modelling. Comfortable in high-volume environments. Experience in process improvement. Proficiency in Finance systems and Microsoft Excel. Strong communication skills.
What's in it for you:
A salary range of 40k-50k, depending on experience. Hybrid working options. Generous leave allowance. On-site parking. Development opportunities.
If you'd like to apply or find out more, please submit your CV at the earliest opportunity and/or get in touch at (url removed).
Search is an equal opportunities recruiter and we welcome applications from all suitably skilled or qualified applicants, regardless of their race, sex, disability, religion/beliefs, sexual orientation or age.
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