Working closely with the Commercial Director, you’ll play a key part in turning data into meaningful insight. Your responsibilities will include:
* Preparing and maintaining cash flow forecasts to support strong working capital management.
* Assisting with budgeting, reforecasting, and analysing performance against targets.
* Producing clear, accurate, and timely financial reports.
* Identifying process improvements and strengthening financial controls.
* Highlighting cost-saving opportunities across the business through analytical review.
* Supporting the financial planning aspects of an ERP system implementation.
We’re looking for someone who is detail-focused, organised, and comfortable working both independently and collaboratively. You should have:
* Proven experience in accounts, reporting, or forecasting.
* Experience supporting system implementations.
* Confidence with Excel and accounting software such as Xero or Sage.
* Strong communication skills to explain financial information to non-finance colleagues.
* A mentoring mindset to help support and develop team members.
What’s on Offer:
* Flexible, part-time working arrangements to suit your lifestyle.
* Private healthcare and critical illness cover.
* Cash plan and wellbeing programme.
* Pension scheme.
* A supportive, collaborative workplace where your contribution is valued.
TMM Recruitment INDFIN