- Oversee monthly group reporting and consolidation processes in collaboration with regional finance teams.
- Drive efficiencies in month-end close and support the transition to a faster reporting timetable.
- Assist in the development of enhanced reporting tools and platforms (e.g., TM1 / Cognos).
- Coordinate annual audits and support the implementation of internal controls and audit processes.
- Partner with operational teams to identify and capitalise on revenue and margin optimisation opportunities.
- Contribute to cashflow forecasting and global cash management initiatives in partnership with Group Treasury.
- Support strategic finance projects aimed at modernising and streamlining finance systems and practices.
- Maintain compliance with local and international accounting standards (FRS/GAAP).
- Be a qualified accountant (ACA, ACCA, or equivalent).
- Have experience in group reporting and consolidations within a multi-entity or international business.
- Strong knowledge of accounting principles, financial reporting standards, VAT, and financial analysis techniques.
- Be comfortable operating in a dynamic, fast-paced environment with a continuous improvement mindset.
- Experience in streamlining / modernising processes and functions.