Your new company
You will work for a thriving media entertainment business with offices headquartered in the heart of central London. This business partners with performers, writers, directors and producers all over the world.
Your new role
This is an exciting newly created position due to business growth, in which you will work within a direct finance team of five people, supported by a wider team of circa 15. You'll have the opportunity to take responsibility for the preparation of monthly management accounts for existing and newly acquired business entities. Responsibilities will include (but not be limited to):
1. Produce monthly financial packs for group entities in line with UK accounting rules, covering performance, position, cash activity and key reconciliations.
2. Build and maintain detailed working files that support the monthly numbers, ensuring accuracy across all core statements.
3. Keep inter-entity balances aligned and fully matched, resolving discrepancies promptly.
4. Prepare forward-looking cash and performance projections to support planning and decision-making.
5. Monitor day-to-day cash activity and highlight emerging trends or pressures to senior leaders.
6. Manage billing, supplier payments and staff-related spending reviews, ensuring correct tax handling.
7. Oversee payroll checks, statutory deductions, pension uploads and annual ...