Job Description Reporting to the Sub-Regional Financial Controller UK & IR, managing some financial reporting for John Crane UK Ltd and some holding companies. Working closely with the Divisional Finance and FP&A Team and Global Operations Team to drive business performance, provide high quality financial analysis and the presentation of financial information to support decision-making. Working with the Finance Shared Service teams to ensure accurate and high-quality accounting and compliance. Responsibilities including but not limited to: Business Partnering: Support the Global FP&A team with the annual Budget/Forecast process, ad hoc analysis and queries, together with UK Sales BP Manage the P&L and Balance Sheet Review process in collaboration with the John Crane UK Shared Service team. Support the annual External Audit process and interact with all the key stakeholders in this process (Auditors, SSC, FBPs, business departments etc.). Support the preparation of the annual Tax return. Manage the monthly commentary for the business area of responsibility, together with UK Sales BP. Accounting and Reporting: Support the Sub Regional Financial Controller on any task as required, daily, weekly and monthly in matters of reporting & accounting. Prepare the supporting calculations for monthly and ad hoc accounting journals for JC UK Ltd as necessary. Support the Assistant Divisional Controller with the Global Management charges and Royalty calculations (act as back up for Assistant Divisional Controller), profit in stock calculation and IFRS16 compliance & accounting. Own the monthly accounting/group/Onyx reporting for two holdings companies (JCG and SGHN). Own the annual audit, statutory accounts and tax process for two holding companies (JCG and SGHN). Manage the monthly submission of the P&L and BS for the UK Services (COY115) in TM1 (GLX upload for all UK COYs). Support the Assistant DC with the half-year and full-year reporting into Onyx. Compliance: Monthly submission of IC in Diligent as needed for the business area of responsibility. Manage the ICE program for the legal entities in line with Group directives and Company policies. Ensure compliance of financial transactions in line with DOA. Ensure new policies are implemented and current policies are understood and adhered to.