Location
Poole, Dorset | United Kingdom
Job description
- Prepare and reconcile all revenue streams monthly
- Review and manage the aged debtor balances ensuring that the relevant people are chasing overdue balances in a timely manner.
- Preparation of weekly detailed cashflow reports for Group.
- Business Partner working directly with senior management to continuously improve the business including analysis of results and forecast and involvement in projects.
- The timely and accurate preparation of business financial management information with supporting, analytical and value add commentary.
- Support the internal and external audits in relation to the revenue processes and procedures.
- Provide support to the Financial Controller and FP&A Accountant in relation to the quarterly forecasts and the annual budget.
- Provide cover for the Financial Controller
- Identify, develop, and manage delivery of business improvement initiatives.
Job tags
Salary