* Responsibility for monthly reporting, budgeting and forecasting.
* Advise and interpret financial results for senior leaders .
About Our Client
Our client is a large-scale industrial and manufacturing company with a significant presence in the UK. They are well-established, employing over 4000 staff, and have a reputation for delivering high-quality products and services.
Job Description
* Monthly reporting of the Profit and Loss / Cash Flow / Balance Sheet with analysis.
* Management of cashflow with timely raising of defined invoices and collection of these invoices.
* Co-ordinate the preparation of the annual budget and forecasts in accordance with the corporate model and
timescales.
* Ensure the integrity of all relevant financial systems and procedures.
* Advise and assist the management team in their understanding and interpretation of the monthly financial
results.
* Produce accurate information for the monthly report pack to the Board.
* Produce financial / performance reports as requested by any client and act as the main point of contact with the
client.
* Management of debt (principal / interest) and swaps requirements.
* Provide information to support the completion of the statutory accounts and assist with questions from internal /
external auditors.
The Successful Applicant
* ACA / CIMA / ACCA qualified or equivalent.
* Self-starter, committed and determined to meet personal objectives
* Strong drive and resilience
* Ability to explain financial information to non-financial team members
* Strong customer focus - including internal customers
* Enthusiastic team player
* Excellent attention to detail.
What's on Offer
* A competitive salary package between £55,000 and £65,000
* A car allowance of £8.4k per annum.
* The potential to earn a bonus of up to 25%.
* Remote/home working with travel to site once a week.
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