Key Responsibilities
- Prepare monthly management accounts for all entities, including detailed variance analysis
- Partner with external and internal accountants to oversee tax, payroll, VAT, and preparation of audit financials
- Prepare monthly group cash flow statements and support year-end statutory reporting
- Provide technical guidance to ensure adherence to accounting standards
- Perform group consolidations and support multi-entity reporting across international markets
- Manage control account reconciliations with precise audit support
- Maintain strong debtor controls and ensure timely collections
- Support the FP&A Manager with board reporting and budgeting
- Automate and enhance management reporting processes
- Maintain up-to-date financial process documentation
- Assist with external compliance requirements across banks and licensing jurisdictions
- CGMA qualification
- 35 years post-qualification finance experience
- Group reporting exposure with consolidations + multi-currency
- Strong reconciliation and audit documentation capability
- Confident communicator across teams, banks, accountants, and regulator
- Flexible team player able to support ad hoc financial needs







