- 23 days holiday plus bank holidays
- Personal accident cover
- Death in service 2x salary
- Hybrid Working
- Assist in the preparation of monthly management accounts and consolidation for UK and Ireland
- Perform monthly balance sheet reconciliations and support regular stock counts
- Contribute to weekly and monthly financial reporting to Head Office
- Provide insightful operational and financial analysis, including P&L variance analysis
- Support annual budgeting and quarterly forecasting processes
- Analyze payroll data (weekly, fortnightly, monthly) and support related submissions
- Lead preparation of government statistical surveys
- Prepare and submit statutory VAT returns for both the UK and Ireland
- Maintain data integrity in the ERP system, including BOMs and standard costs
- Support working capital management – monitoring debtors and supplier payments
- Provide assistance with pricing, costing, and production planning analysis
- Support the annual financial audit and respond to ad hoc reporting requests
- Experience in a similar role desirable
- Experience of stock management systems
- Excellent interpersonal skills
- Exceptional time management and organization skills
- Ability to communicate effectively (verbal, written, and presentations) with staff, and internal and external clients
- Self-motivated polished professional who thrives in a challenging, fast-paced environment