Job Description
You will also be involved in working with the Transactional Manager to improve the coding of invoices and with the Financial Accountant, to reconcile and review the balance sheet recs. You will also be responsible for cash flow forecasts and VAT returns. There will also be line management of the Revenue and Margin Analyst and Assistant Management Accountant.
- Prepare and review the Management Accounts for all group entities
- Prepare and distribute a suite of sub P&L’s including Website and Overhead Department summaries
- Responsible for line managing the Revenue and Margin Accountant and Assistant Management Accountant
- Assist with the annual budget production
- Ad hoc analysis to better understand variances or trends
- Prepare Group Cash flow forecasts by entity / currency to support FX trades
- Prepare quarterly VAT returns and keep abreast of tax changes impacting the LH Group
- Have the capability and confidence to raise issues and identify weak processes and to draw upon the wider team to help resolve them
- Assist in raising the profile of the finance team across the Group
We offer a wide variety of benefits including a competitive salary, pension scheme, health cash plan, generous staff discounts and a fantastic annual bonus scheme.
Benefits:
- Company events
- Company pension
- Employee discount
Schedule: