Responsibilities:
1. Support in the statutory reporting elements of the group
2. Produce financial statements for group companies
3. Treasury and cashflow forecasting to aid management decisions
4. Responsibility for capex control and reporting in the business
5. Preparation and submission of VAT returns
6. Balance sheet reconciliations
7. Support the CFO and PE partners with any ad-hoc analysis required
Key Skills:
1. Experience of preparing statutory financial statements
2. Experience of dealing with HMRC and external auditors
3. IFRS and FRS102 experience
4. Strong IT skills including accounting software and MS Office. Strong excel modelling and knowledge. Be confident in using and switching between different software programs
5. Part Qualified, studying towards AAT/CIMA/ACCA
#J-18808-Ljbffr