The post holder will work closely with, and have reporting responsibilities of finances to the Groups Head of Finance. Prepare monthly management accounts and reports including profit & loss, balance sheet and a cash flow forecast as well as a narrative report to accompany these reports, and liaise with the central finance function as and when required. Manage all finance-related aspects, such as the processing of sales ledger transactions, invoices, credit notes, wip, expenses, purchase ledger transactions, credit accounts, bank income, petty cash etc. Work with colleagues within the central finance function on key tasks, including supporting year end accounts closure and auditing, monthly control account reconciliations and ad hoc projects. Monitor income and expenditure rigorously
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