The Group Finance Manager will support the group finance function by completing finance assignments to assist in producing group financial reports for the Board of Directors and the consolidation, budget consolidation and cash management.
They will also assist in the integration of new business units as they join the group.
The role will involve learning all aspects of the group finance function and will support the overall delivery of the business.
Duties will include but not limited too,
Monthly group consolidation and management accounts for group companies with reporting packs.
Group cash consolidate the cashflow statements and provide guidance on requirements.
Develop the treasury function within the group.
Support budget preparation within the group and consolidation.
Financial analysis and associated liaison with businesses
Credit control and developing good relationships with business units and clients
Maintain close working relationships with the commercial and financial teams
Administer group banking arrangements
Preparing and entering month end journals
Intercompany recharges and full reconciliation within the group
Balance sheet reconciliations for various companies
Draft consolidated reports for the bank to support group lending
Working with the integration team to support the finance functions of any acquisitions
Group audit contact, and prepare year end accounts information
Work with finance leads to ensure finance policy is consistent throughout the group
Any other duties as required within the finance function
Experience Mandatory
Accounts experience
Positive attitude and inquisitive nature
Excellent communication / people skills
Microsoft office (incl Excel) proficient
Excellent time management skills
Preferred
Degree in Accounts & Finance and/or Accounts qualification
Experience with accounting software
Strong analytical skills
Good organisational skills
If you are interested in finding out more and wish to have a confidential conversation please contact Lyndsey
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