To manage the daily operations of the Finance Department and ensure objectives are aligned to the business plan.
Client Details
Our client is a fantastic SME who have been through some exciting growth in recent years.
Description
- You will be responsible for day-to-day general duties including invoices, ledgers, reconciliations, payroll, and VAT returns, as well as providing accurate and timely management and statutory accounts information to the director.
- You will be responsible for maintaining full control of the general ledger, producing balance sheet reconciliations on a monthly basics, investigating any discrepancies and rectifying.
- You will coordinate the budgeting process, produce management accounts, revenue forecasts, cash flows, stock levels, debtors, and profile forecasting on a monthly, quarterly and annual basis as appropriate.
- You will also undertake improvements of procedures and processes to ensure a smooth running of the accountancy department.
Profile
- Qualified accountant
- Experience and knowledge of warehousing/ logistics distribution / Pallet networks
- Sound budgeting, forecasting, and reporting knowledge - able to identify and communicate variances
- Proven management skills
- Understanding the relationship of KPI's and cost drivers to financial management / performance of the contract against budgets and forecasts
Job Offer
A great team and business with an exciting opportunity for a proactive Finance Manager to help continue to grow the business.