We are looking to recruit a Group Financial Account to join their team on a permanent basis.
The ideal candidate will be responsible for:
* Monthly Accounts
* Cash flow and treasury
* Management of inter-company reconciliation
* Supporting site financial controllers
* Process implementation and improvement
Key tasks and responsibilities:
* Day to day accounting, i.e. receivables, payables, month end close, VAT etc.
* Management accounts preparation for the company.
* Management of inter-company reconciliation
* Daily liquidity update, reporting and management
* Assist with the 13 week cash flow
* Management of audit adjustments and postings
* Help with full year audit preparation
* Variance analysis