Key responsibilities include:
- Leading the month-end, half-year, and year-end reporting process.
- Overseeing the preparation of statutory accounts under IFRS and UK GAAP.
- Coordinating external audit activities and managing key audit risks.
- Owning the production of management accounts, forecasts, budgets, and supporting analysis.
- Driving continuous improvement across reporting, controls, systems, and finance processes.
- Enhancing internal controls and supporting upcoming UK governance and controls reforms.
- Overseeing cash flow forecasting, treasury management, and working capital initiatives.
- Acting as a key contact for tax compliance and external advisers.
- Partnering with senior stakeholders to challenge performance and support strategic decision-making.
- Leading, coaching, and developing a finance team of qualified and part-qualified professionals.
Vacancy posted 1 day ago
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