This role has responsible for all aspects of Group's financial management and monitoring of the internal control environment. He/She will manage the financial and accounting system controls and standards and ensure the delivery of financial and statistical reports.
Preparation of budgets, forecasts and business plans and continued monitoring & review of performance against them to enable robust reporting of variances to the Board and third party stakeholders
Ensure the preparation of timely and accurate monthly management accounts and reports for operational management
Ensure the accuracy and integrity of the Group's accounting records and financial systems
Effectively manage the working capital components of the Group with specific attention to stock, debtors and cash balances
Active management of overheads whilst seeking out areas for efficiencies for savings