This is a fascinating and unique infrastructure business, experiencing substantial growth. The business is extremely cash generative with a turnover of £140M and a substantial EBITDA.
They now require an experienced qualified accountant to look after all aspects of Financial planning, analysis and reporting to the Finance Director. This is a really broad based role responsible for all aspects of commercial analysis, managing the Budget & forecast process, but you will also manage the year end statutory audit and group consolidation process as well as an oversight of Taxation.
This is a high profile role, working closely with the Board and stakeholders, the wide responsibilities will include:
Manage and report the Group Budget and ongoing monthly performance analysis
Monitor and report on Cash/debt and provide analysis
Manage the external Audit various other external relationships
The ideal candidate will be an excellent communicator with a good academic background and a qualified accountant with at least 3 years post qualification financial experience. Good technical management and consolidated statutory accounts experience and a competent Excel user with a track record of achievement. Regular travel to SE London will be required.
Send your CV now.
Applicants must be eligible to work in the UK.
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