Prepare monthly financial statements, including profit and loss accounts, budget, cash flow, variance analysis and commentaries.
Prepare year end accounts within defined timescales and liaise with external accountants, preparing all schedules and working with them to produce annual financial statements.
Manage financial planning, budgeting and forecasting.
Implement strategies to improve financial growth.
Day to day management of the finance department and completing annual appraisals and bi-monthly 1-2-1s.
Develop all necessary policies and procedures to ensure the sound financial management and control of the company's business.
Produce monthly financial Executive Team reports to include all aspects of the finance departments work flow.