As the Financial Reporting Manager, you will assume overall responsibility within Abbey Logistics for Group Consolidation, Balance Sheet and Cash Flow. You will Establish and maintain robust financial processes, support and oversee existing financial activity and manage the financial integration of new businesses. Main Duties Reporting to the Head of Finance you will be responsible for: A ‘hands on’ approach. You will be the point of contact and subject matter expert for, group consolidation, balance sheet and cash flow. Well-developed interpersonal and communication skills and high levels of integrity, ethics and judgement. A committed team player with a highly collaborative style, you will be resilient, resourceful, agile and thrive in a fast paced and changing organisation. * The Consolidation of Group Accounts. * Cash flow forecasting. * Treasury Management. * The Management of Invoice Discount Facility * Establishing and maintaining robust financial processes with effective segregation of duties. * The Training and Development of accounting staff. * VAT and Corporation tax. * The Management of Debtor days and Aged Debt. * Cap-ex control. * Fixed Asset reconciliation. * Insurance. * Liaison with Auditors and Tax Advisers. * Liaison with Banks and Fund Providers. * Filing annual accounts. * Balance Sheet Reconciliations. * Integration of Acquisitions. The Role: * Monday - Friday ...