Highly successful & dynamic IT Services Company is looking to strengthen its Finance team. This is an exceptional opportunity to be part of an energetic & dynamic team and to actively contribute to its ongoing success story.
MAIN PURPOSE OF JOB
Analyzing commercial profitability of new and existing sales
Processing sales & procurements to match new client SOs
Updating Annual Recurring Revenue database
Reporting on achieved & expected margins by customer and product
Cost & billing structures for new services
Develop Excel-based models so as to allow the internal sales team to standardize professional services sales
Monthly, quarterly, annual projections by sales channel
Work alongside Sales Team to generate projections
Report on status of open sales orders
Reporting on stock movements
Assist with inventory & stock processing
Assist Project Managers in resolving stock queries
Ensure processes and procedures and properly documented
Provide support to Management team as necessary
Provide cover for other team members
Setting appropriate internal control policies and ensuring robust controls are in place across the business
Continued development of improved MIS to ensure better financial data
Required Knowledge, Skills, and Abilities
Excellent MS Office skills including proficiency in Microsoft Excel and financial modelling. Strong inter-personal skills and an ability to work with all levels of the business to Senior Management to Technical Staff. Proactive approach to recommending improvements in business practices and processes. Excellent written and verbal communication skills. Organization and interpersonal skills. Ability to take ownership of, and progress, tasks and responsibilities to resolution. Positive, enthusiastic and supportive individual. Passionate, professional, with a 'can-do’ attitude at all times. Education: A-Level or equivalent (Preferred). Experience: commercial accounting: 2 years (Preferred).