Develop and maintain cost analysis models Prepare and finalise monthly and annual financial statements. Ensure compliance and accuracy across all financial records. Enhance and maintain internal controls, policies, and financial processes. Manage the month-end close and ensure timely financial reporting. Oversee tax compliance, including VAT, corporation tax, and regulatory filings. Manage cashflow and liquidity. Coordinate with auditors and external stakeholders. Perform bank and intercompany reconciliations. Oversee payroll, expenses, and pension contributions. Support annual business planning. Build detailed yearly budgets with functional targets. Develop frameworks for management financial reporting. Prepare monthly management packs for internal stakeholders. Identify cost efficiency and optimisation opportunities. Requirements ACCA / CIMA / CA qualified or finalist. Experience within a corporate finance or accounting environment. Strong reporting skills and experience with payroll/finance systems (Sage preferred). Ability to work 5 days a week on-site. Must have Right to Work in the UK - no sponsorship available. Strong individual contributor with future leadership potential. Perks Lunch provided daily. health & business travel insurance. Free on-site parking.