A fantastic opportunity and a really exciting time to be joining this company, having been recently acquired by a global player in its field it will remain a standalone site with its own Senior Management Team and Directors responsible for its own destiny.
This is a key role and as the Commercial Finance Manager you will deliver the monthly, quarterly and annual budgeting and forecasting processes and financial reporting for leadership team, the business owners and external stakeholders, including project financing banks. You will lead the day-to-day treasury management and cash operations, primarily focused on managing the 13-week cash flow. You will enjoy supporting the Board, and be responsible for Lender reporting, liquidity analysis and covenant reporting. Furthermore you will support evaluation of business growth opportunities and debt financing options and deputise for the Head of Finance on all financial accounting, financial planning and analysis, business partnering, tax and treasury activities for the site., and support the delivery of a robust control framework
Ideally you will be a qualified accountant with a strong technical and commercial background, and be a person who really enjoys getting " stuck into the numbers", Some experience of JV accounting and mergers and acquisitions would be advantageous but not essential. An excellent package is on offer, with hybrid working and includes a bonus and generous pension. Based on the Lincoln...