London Jobs |
Manchester Jobs |
Liverpool Jobs |
Nottingham Jobs |
Birmingham Jobs |
Cambridge Jobs |
Glasgow Jobs |
Bristol Jobs |
Wales Jobs |
London Jobs |
Manchester Jobs |
Liverpool Jobs |
Nottingham Jobs |
Birmingham Jobs |
Cambridge Jobs |
Glasgow Jobs |
Bristol Jobs |
Wales Jobs |
Oil & Gas Jobs |
Banking Jobs |
Construction Jobs |
Top Management Jobs |
IT - Software Jobs |
Medical Healthcare Jobs |
Purchase / Logistics Jobs |
Sales |
Ajax Jobs |
Designing Jobs |
ASP .NET Jobs |
Java Jobs |
MySQL Jobs |
Sap hr Jobs |
Software Testing Jobs |
Html Jobs |
Job Location | Leicester |
Education | Not Mentioned |
Salary | £70,000 - £80,000 per annum |
Industry | Not Mentioned |
Functional Area | Not Mentioned |
Job Type | Permanent , full-time |
GROUP FINANCIAL CONTROLLERLeicestershireOur client, a successful SME Service sector business , is seeking to recruit a Group Financial Controller.Roles and Responsibilities:Manage and develop finance team to support business growthComplete cash flow forecasts, ensuring compliance with banking covenants.Monthly management accounts - finished to timetable for review by the Group Financial DirectorDevelop weekly and monthly KPI reportingLead improvement in Board pack reporting. Ensure weekly / monthly financial information packs and commentary meet Board, investor and lender reporting requirements.Lead treasury management.Review stock provisions and accruals on a monthly basisWeekly meetings with team to review debts and both AP and AR ledgerEnsure appropriate financial controls are in place and being adhered to across the department and businessEnsure the integrity of balance sheet reporting, review and approveEnsure VAT returns and HMRC payroll submissions are accurate and meet deadlinesPlanning and production of budgets and quarterly forecasting, including liaising with all departments and reviewing & checking submissionsEstablish appropriate financial modelling to provide Board with accurate projections against KPI’s.Oversee the timely completion of year-end statutory accounts and all associated analysis as required.Lead the preparation of year-end disclosures and tax packs in readiness for year-end audit.Liaise with auditors.Provide financial insight to support business decisions, in particular product and customer profitability and detailed sales/margin/inventory analysis.Contribute to systems and workflow improvements.Qualification and skills required:Essential Desirable Experience