Altum Consulting are pleased to be partnering with a, global, listed technology organisation based in London. The right candidate will be overseeing month-end and year-end closures. You'll play a crucial role in creating financial statements and facilitating audit activities. This role also provides the opportunity to support on the cashflow forecasting and reporting across multiple projects in line with strategic growth developments.
Key responsibilities include:
- Managing month-end and year-end closures through our Group consolidation tool.
- Backing the preparation of financial and internal/external reports via the consolidation tool.
- Spearheading support for accounting users across locations, ensuring punctual and accurate reporting.
- Enhancing the consolidation tool to align better with reporting requirements.
- Assisting with Group financial statement formulation and ensuring readiness for audits.
- Contributing to streamlined cash usage via weekly/monthly cash forecasting.
- Addressing month-end accounting for holding companies.
- Engaging in project teams focused on financial systems, control, and compliance.
- Advancing the professionalism and processes of the group finance department.
- Formulating and documenting business processes to reinforce internal controls for month-end and year-end procedures.
- Spotting opportunities for improvement and offering constructive suggestions to elevate the Group finance function.
- Business Partner with the PE investors on business performance
Skills, Knowledge and Experience:
- Newly qualified ACCA/ACA/CIMA or some post qualified experience
- Thorough accounting and reporting knowledge with an understanding of IFRS
- Ability to effectively business partner with key stakeholders
- Excellent excel skills with experience dealing with large data sets
- Articulate with excellent verbal and written communication skills
- Self-starter, takes ownership and happy to create own processes and manages with multiple / new data sources