To support the Financial Controller in the preparation of monthly management accounts, cash forecasting and project reporting. Supporting the wider business with financial support as required.
Core Responsibilities
- Produce monthly management accounts for review.
- Monthly balance sheet reconciliations with variances investigated and rectified on a timely basis.
- Prepare weekly cash forecasts.
- Assist in preparation of yearly budgets.
- Improve efficiency and accuracy of financial processes.
- Review and checking of UK and USA payroll submissions.
- Work closely with Project Accountant on project reporting and escalating any issues in a timely manner.
- Collaborate with other departments to achieve effective communication.
- Support tendering activities.
- Provide guidance to the transactional finance team as required.
- Assist with any audit requirements.
- Train and development junior members of the finance team