Interim Financial Controller
- Employer
- Ignata Finance
- Location
- South East London, UK
- Salary
- Competitive
- Closing date
- Sep 19, 2019
View more
- Job Role
- Controller
- Sector
- Finance
- Contract Type
- Permanent
- Hours
- Full Time
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Interim Finance Manager Ignata Finance are delighted to be recruiting an Interim Finance Manager for a global, well-known brand with offices in central London. This is a critical finance role which will have responsibility for all aspects of Finance Operations including Working Capital, Treasury and systems. Key
responsibilities:
Responsibility for working capital (including cash, trade debtors and trade creditors) Management and control of all aspects of purchase to pay including liaison with procurement Management and control of order to cash (including raising of invoices) Responsibility for online banking processes (including relationships with the Bank) Preparation of the monthly management accounts and associated reporting packs Profit and loss account Cash flow statements Variance analysis and commentary Preparation of all relevant balance sheet reconciliations for review by the Financial Controller/Director of Finance Management, control and accounting for the Shareholder Facility Work alongside the Financial Reporting Manager to support the year end statutory financial statements process Input into the forecasting, budget and business planning processes as required; Skills and qualifications: ACA or ACCA accounting qualification (with an audit background) Advanced EXCEL skills Demonstrable experience of dealing with senior stakeholders and external advisors Experience of working to tight deadlines with the desire to drive best practice Technical accounting, multi-currency management and high level VAT and Corporation tax experience
Location:
Paddington Day rate: £400
responsibilities:
Responsibility for working capital (including cash, trade debtors and trade creditors) Management and control of all aspects of purchase to pay including liaison with procurement Management and control of order to cash (including raising of invoices) Responsibility for online banking processes (including relationships with the Bank) Preparation of the monthly management accounts and associated reporting packs Profit and loss account Cash flow statements Variance analysis and commentary Preparation of all relevant balance sheet reconciliations for review by the Financial Controller/Director of Finance Management, control and accounting for the Shareholder Facility Work alongside the Financial Reporting Manager to support the year end statutory financial statements process Input into the forecasting, budget and business planning processes as required; Skills and qualifications: ACA or ACCA accounting qualification (with an audit background) Advanced EXCEL skills Demonstrable experience of dealing with senior stakeholders and external advisors Experience of working to tight deadlines with the desire to drive best practice Technical accounting, multi-currency management and high level VAT and Corporation tax experience
Location:
Paddington Day rate: £400
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