We're seeking an experienced Financial Reporting Specialist to join our team. In this role, you'll be responsible for overseeing financial reporting, managing budgets and cash flow, ensuring compliance, and supporting both internal and external financial processes within the organisation.
Key Responsibilities:
* Oversee month-end processing, intercompany transactions, and preparation of monthly board papers.
* Prepare consolidated management accounts, tax effect accounting, and ensure compliance with regulatory requirements.
* Manage cash flow forecasting, treasury functions, payroll, and internal cash management.
* Assist in the annual budget preparation, including P&L, balance sheets, cash flows, KPIs, and financial commentary.
* Support external reporting tasks, including annual financial statements, audits, tax returns, and liaising with insurance contacts.
Requirements:
To succeed in this role, you'll need a strong background in finance, specifically expertise in month-end processing, intercompany transactions, and board paper preparation. You should also have strong knowledge of consolidated accounts, tax effect accounting, and regulatory compliance. Additionally, you'll require proficient skills in cash flow forecasting, treasury, payroll, and internal cash management. Experience in preparing budgets, P&L, balance sheets, cash flows, and financial commentary is also essential.
What We Offer:
* A supportive and dynamic work environment.
* Flexible start times.
* Monthly director birthday lunch.
* Birthday leave.
* Additional annual leave for tenure milestones.
* Team sports.
* Subsidised gym membership.
* Employee assistance program.
* Corporate massage.
* Complimentary dry cleaning.
* Employee recognition program.
* Complimentary breakfast & snacks.
* Social club.
* Incentive programs.