- Full Time
- Anywhere
Salary: £40 – 45k
Remote working available
Main Duties
- Managing a company’s financial accounting, monitoring and reporting systems
- Managing payments: VAT, debtors and creditors; ensuring that cash flow management is stable
- Monitoring and interpreting cash flows; developing profit and loss and balance sheet KPIs
- Providing and interpreting financial information monthly/quarterly (working with external bookkeepers)
- Predicting future cashflow/performance trends
- Researching and reporting on internal/external factors influencing business performance
- Developing financial management mechanisms that minimise financial risk
- Conducting reviews and evaluations for cost-reduction opportunities
- Liaising with company accountants to ensure annual monitoring is carried out
- Developing external relationships with appropriate contacts, e.g. solicitors, bankers and statutory organisations such as HMRC
- Producing accurate financial reports to specific deadlines
- Managing budgets
- Working with fellow staff to ensure that projects and clients work is kept on track
- Keeping abreast of changes in financial regulations and legislation
- Any other ad hoc tasks as required
- Working with CEO, MDs and Consultants to develop proposals for current and potential client work
Requirements:
- Excellent communication and presentation skills, both written and verbal
- Technical competencies/experience
- Ability to manage workload, work under pressure and concurrently manage both customer and internal expectations
- Strong interpersonal skills
- Must hold the right to work in the UK
Key software Skills:
- MS Word
- MS Excel
- MS PowerPoint
- Xero
If this role is of intrested please get in touch with Max Gray max.gray@sure-commercial.co.uk