• Producing annual budgets
• Responsible for all cash flow forecasts and P&L
• Producing long term forecasts for UK business
• Develop current procedures & processes to ensure complete accuracy
• Manage relationships with external auditors and creditors
• Train and develop current staff in order to improve financial controls In order to apply for this role it is essential that you have held a similar role previously. Ideally you will be ACA qualified however CIMA/ACCA will be considered.