Reporting to the Financial Controller and working closely with the wider finance team, this is a broad, high‑profile role.
You’ll be responsible for ensuring the financial integrity, compliance, and reporting across the Group, while also supporting wider group finance activities.
Key Responsibilities
* Ownership of management accounts/central accounting adjustments - (prepayments, accruals, fixed assets)
* Preparation of journals in NetSuite and monthly reconciliations in Blackline
* Ownership of intercompany balances and reconciliations, including transfers, recharges and management fees
* Support transfer pricing calculations across the Group, in line with internal and external tax guidance
* Support UK tax and VAT compliance, including submissions and payments
* Support the development and standardisation of reporting processes and controls
* Treasury and cash management responsibilities
* Support monthly corporate reporting, including analysis, commentary and reporting packs
* Assist with the preparation of financial statements across the Group
* Assist with statutory accounts preparation and audits
* Contribute to ad hoc projects and continuous improvement initiatives
Key Skills, Experience & Qualifications
* Experience within a complex, multi‑entity/group finance environment
* Strong management accounts experience
* Analytical with strong attention to detail
* Some Tax/VAT experience
* Some cash management/cash flow experience
* Excellent communication skills, able to engage stakeholders at all levels
* Proactive, self‑motivated, and comfortable driving change
* Strong systems skills; experience with NetSuite or Great Plains is advantageous
Salary & Key Benefits
* Discretionary bonus
* Hybrid working (just 1 day per week in the office)
* 25 days holiday + bank holidays
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