Key Responsibilities
- Produce accurate and timely monthly management accounts.
- Prepare journals, reconciliations and supporting schedules.
- Analyse financial performance and provide detailed commentary.
- Investigate variances and identify trends, risks and opportunities.
- Maintain strong balance sheet controls and reconciliations.
- Support the development of management reporting and business insight.
- Deliver ad hoc financial analysis to support decision-making.
- Take ownership of the fixed asset register.
- Oversee expenses and company card processes.
- Support VAT returns, external audits and statutory reporting.
- Manage National Statistics submissions and other regulatory reporting requirements.
- Identify and drive process improvements across finance systems, controls and reporting.
Vacancy posted 5 hours ago
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