- 4/1 office/ home working
- Growing business
- Lead and coach the development of the finance team (payroll, ledgers and assistant accountants).
- Prepare financial management pack including cashflow for presenting periodic financial performance.
- Responsible for cash management, including monitoring future positions and authorising payments.
- Responsible for balance sheet management, ensuring reporting is accurate and in line with expectations.
- Support the wider business with financial expertise and adhoc projects.
- Consolidate group accounts.
- Responsible for work derived from maintaining relations and with third parties such as auditors, banks etc.
- Responsible for statutory reporting including but not limited to; VAT, ONS, import/exporting.
- Contribute to continuous improvement of internal controls and financial reporting within the business.
- Gathering information for year-end audit and tax return preparation.