Key Responsibilities
1. Partner with senior management to support global financial strategy and business planning.
2. Lead the annual budgeting and monthly forecasting process for P&L, balance sheet, and working capital.
3. Manage the monthly consolidation and reporting requirements, including compliance with UK statutory obligations.
4. Ensure adherence to US GAAP, Sarbanes-Oxley (SOX), and internal financial controls.
5. Collaborate with corporate teams on tax-related matters and provide audit leadership.
6. Drive continuous improvement in financial planning, compliance, and month-end close processes.
7. Support internal and external audits and liaise with Corporate as required.