We are looking to recruit a Group Financial Account to join their team on a permanent basis. The ideal candidate will be responsible for: * Monthly Accounts * Cash flow and treasury * Management of inter-company reconciliation * Supporting site financial controllers * Process implementation and improvement Key tasks and responsibilities: * Day to day accounting, i.e. receivables, payables, month end close, VAT etc. * Management accounts preparation for the company. * Management of inter-company reconciliation * Daily liquidity update, reporting and management * Assist with the 13 week cash flow * Management of audit adjustments and postings * Help with full year audit preparation * Variance analysis