Financial Reporting and Compliance:
1. Prepare and oversee the production of accurate monthly, quarterly, and annual financial statements.
2. Ensure compliance with financial regulations, accounting standards (e.g., IFRS or GAAP), and tax laws.
3. Conduct internal audits and support external audits.
4. Develop and maintain financial policies and procedures.
Budgeting and Forecasting:
1. Lead the annual budgeting process in collaboration with departmental managers.
2. Monitor budgets and provide variance analysis, explaining significant deviations.
3. Support long-term financial planning by preparing forecasts and scenario analyses.
Team Management:
1. Supervise and mentor the accounts team, including Accounts Payable, Accounts Receivable, and General Ledger functions.
2. Allocate responsibilities within the team to ensure efficient workflow and timely delivery of outputs.
3. Train staff on financial systems and processes.
Cash Flow and Financial Controls:
1. Oversee cash flow management to ensure liquidity and timely payment of obligations.
2. Implement robust financial controls to safeguard company assets.
3. Monitor and reconcile balance sheet accounts monthly.
Stakeholder Engagement:
1. Collaborate with senior leadership to provide financial insights and advice.
2. Liaise with external stakeholders such as auditors, banks, and tax authorities.
Systems and Process Improvements:
1. Optimize accounting systems and processes to improve efficiency.
2. Identify and address areas for cost savings and process improvements.
Experience: Required
Employment: Full-time
Salary: £40,000 – £45,000 yearly
Starting time: Immediate start!
About Issuebot.ai:
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