Responsibilities:
1. Prepare and present monthly management accounts.
2. Monitor financial performance against budgets and forecasts, identify variances, and provide insightful analysis
3. Prepare year-end and interim annual reports.
4. Act as the primary liaison with external auditors, coordinate audit schedules, prepare requested documentation, and ensure smooth audit delivery.
5. Ensure compliance with financial regulations and reporting requirements under IFRS.
6. Prepare various tax reporting requirements, including corporation tax returns - focus on R&D tax credits, share option reporting, and payrolling benefits.
7. Optimise R&D tax credits through collaboration with internal and external stakeholders.
8. Oversee financial data collection, validation, and maintenance to ensure accuracy and consistency.
9. Collaborate with department heads to develop annual budgets and financial forecasts.
10. Partner with leadership to provide financial insights, manage risks, and identify opportunities for growth
11. Lead payroll activities in coordination with HR, maintaining compliance with relevant regulations across multiple jurisdictions.
12. Manage treasury - ensure sufficient working capital while maximising interest receivable.
13. Conduct internal audits and drive process improvements to enhance efficiency and reporting.
14. Work closely with the Senior Director, Head of Finance...