1. Make your mark in a business going through change.
2. Exposure to senior leadership team from day one.
About Our Client
This opportunity is with a well-established organisation within the manufacturing sector. The company operates as part of a large organisation, offering a professional and structured environment.
Job Description
3. Coordinate and submit monthly financial statements in accordance with IFRS for the UK entities.
4. Manage Accounting, Tax, and Treasury team.
5. Coach and develop team members.
6. Foster personal growth aligned with objectives.
7. Work closely with the Financial Shared Service Centre on sub-ledger processes.
8. Prepare and review general ledger reconciliations and journal entries.
9. Analyse financial results versus expectations, budgets, and forecasts.
10. Provide technical accounting support to the business.
11. Enhance reporting/planning systems and standardise procedures.
12. Review and implement changes in accounting, tax, and company law.
13. Lead contact for the external auditors.
14. Prepare annual statutory accounts and other ad hoc financial reports.
15. Preparation and management of the liquidity planning forecasts.
16. Management of operational banking,coordinating with Group treasury, the Financial Shared Service Centre and our corporate bankers.
17. Responsible contact for external tax consultants, Group Tax and HMRC.
The Successful Applicant
18. Qualified accountant (ACA, ACCA, CIMA)
19. Significant experience in practice and finance functions, preferably within a large corporation
20. Proven ability to manage and develop teams
21. ERP System exposure- SAP is desirable
22. Strong skills in Outlook, Excel, PowerPoint, and Word
What's on Offer
23. A competitive salary plus package.
24. Opportunities for professional development and career progression.
25. A structured and professional working environment.