Senior Group Accountant - Growing Digital Business
- Employer
- Altum Consulting
- Location
- South East London, UK
- Salary
- Competitive
- Closing date
- Sep 19, 2019
View more
- Job Role
- Group Accountant
- Sector
- Finance
- Contract Type
- Permanent
- Hours
- Full Time
You need to sign in or create an account to save a job.
Senior Group Accountant Our market-leading client is searching for a Senior Accountant, this is an integral position within the Group Finance team. Primary
Responsibilities:
Preparation and reporting of the consolidated management and financial accounts Support internal and external financial reporting for the Group and maintain appropriate control policies Help produce Group Quarterly and Annual Reports Support the delivery of timely and accurate monthly management reporting pack Work with international entities to ensure integrity of numbers Take ownership of cashflow reporting to a variety of senior stakeholders Assist in management of banking relationships and reporting Supporting interim and year end external audit processes Ensure that all required reconciliations are delivered Supporting the process to complete Vue group statutory accounts to best in class standards and timelines. Managing cash and facility Designing, implementing and directing a regular process of tax efficient cash sweep from operating countries to gain optimum benefit for the Group, considering all local restrictions where applicable. The delivery and consolidation of group and local country cash forecasts. Completion and design improvements of international weekly cash flow forecast. Manage group debt and cash position Help analyse and improve processes, and designing new efficient methods of control Design and implement cash planning Support FP&A team with ad-hoc projects to help them accurately forecast and budget their numbers Variance analysis of performance against forecasts Help manage IR and support other ad-hoc projects Candidate Profile: ACA/CA/CPA fully qualified accountant Experience working within international business at group head office is desirable Strong knowledge of IFRS Experience working within a multi-currency environment and a strong knowledge of FX accounting desirable Strong excel skills Analytical mind and good track record of improving processes and procedures Good communicator and well versed in building relationships
Responsibilities:
Preparation and reporting of the consolidated management and financial accounts Support internal and external financial reporting for the Group and maintain appropriate control policies Help produce Group Quarterly and Annual Reports Support the delivery of timely and accurate monthly management reporting pack Work with international entities to ensure integrity of numbers Take ownership of cashflow reporting to a variety of senior stakeholders Assist in management of banking relationships and reporting Supporting interim and year end external audit processes Ensure that all required reconciliations are delivered Supporting the process to complete Vue group statutory accounts to best in class standards and timelines. Managing cash and facility Designing, implementing and directing a regular process of tax efficient cash sweep from operating countries to gain optimum benefit for the Group, considering all local restrictions where applicable. The delivery and consolidation of group and local country cash forecasts. Completion and design improvements of international weekly cash flow forecast. Manage group debt and cash position Help analyse and improve processes, and designing new efficient methods of control Design and implement cash planning Support FP&A team with ad-hoc projects to help them accurately forecast and budget their numbers Variance analysis of performance against forecasts Help manage IR and support other ad-hoc projects Candidate Profile: ACA/CA/CPA fully qualified accountant Experience working within international business at group head office is desirable Strong knowledge of IFRS Experience working within a multi-currency environment and a strong knowledge of FX accounting desirable Strong excel skills Analytical mind and good track record of improving processes and procedures Good communicator and well versed in building relationships
You need to sign in or create an account to save a job.
Get job alerts
Create a job alert and receive personalized job recommendations straight to your inbox.
Create alert