- Hybrid working
- Growing business
- Production of monthly management accounts, including variance analysis
- Supporting in the planning, preparation, and delivery of statutory reports, publications, internal and external audits, and associated financial accounts within agreed timetables.
- Full ownership of P&L and Balance Sheet, including regular reconciliations
- Process and maintain the Fixed Asset Register
- Highlight and help improve controls and processes where relevant
- Production of cash flow forecast
- VAT returns
- Support with systems improvements