Group Reporting Manager
- Employer
- Firefly Human Capital Ltd
- Location
- Windsor, UK
- Salary
- Competitive
- Closing date
- Oct 17, 2019
View more
- Job Role
- Financial Accountant
- Sector
- Finance
- Contract Type
- Permanent
- Hours
- Full Time
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Goup Reporting Manager We have a brand new opportunity, which has arisen to join a leading FTSE listed company as Group Reporting Manager on a permanent basis. Primarily you will be responsible for managing and supporting the Group monthly/quarterly/annual close processes. The reporting will be 70% of this role so therefore, its is essential you have a detailed approached and a tolerance to repetition and have experience within a listed organisation as well as exposure to group consolidation. Key
Responsibilities:
Leading and developing a small team Full ownership of year end reporting function including the preparation of statutory accounts under IFRS and UK-GAAP Preparing year-end accounts following ad-hoc transactions such as mergers Balance Sheet forecasting, including forecasting of stock purchases in foreign currency, VAT and Corporate Tax (across multiple territories/countries). Forecast cash flow positions of the Group and its related borrowing needs. Including weekly, annual and long range forecasts. Development and implementation of internal controls and financial procedures Main point of audit and leading on tax returns Offering financial leadership in developing commercial strategy and business plans Partnering with senior leaders on operational and strategic issues Desired Skills and Experience: Must be fully ACA, Big 4 qualified Must have group experience A hardworking and honest individual Minimum 2 years experience in a relevant position Highly-motivated and pro-active self starter Ability to work to tight deadlines
Responsibilities:
Leading and developing a small team Full ownership of year end reporting function including the preparation of statutory accounts under IFRS and UK-GAAP Preparing year-end accounts following ad-hoc transactions such as mergers Balance Sheet forecasting, including forecasting of stock purchases in foreign currency, VAT and Corporate Tax (across multiple territories/countries). Forecast cash flow positions of the Group and its related borrowing needs. Including weekly, annual and long range forecasts. Development and implementation of internal controls and financial procedures Main point of audit and leading on tax returns Offering financial leadership in developing commercial strategy and business plans Partnering with senior leaders on operational and strategic issues Desired Skills and Experience: Must be fully ACA, Big 4 qualified Must have group experience A hardworking and honest individual Minimum 2 years experience in a relevant position Highly-motivated and pro-active self starter Ability to work to tight deadlines
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