Job Description
The Consultancy Group has partnered with a highly acquisitive FTSE listed Technology business on a new hire because of a promotion within the team. We’re looking for a forward looking individual with a commercial mindset to ensure continuous development of the function. This role will be working closely with the strategic finance team supporting decision making at the executive and board level. This offers the chance to join a highly motivated fast-growth function with a clear progression timeline in place.
Key Responsibilities:
- Delivering insightful financial analysis, reporting and insights to support key business decision making at the senior level.
- Oversee the cash flow budget and rolling forecasting cycle maintaining and updating the model where applicable.
- Work alongside the FP&A team to drive continuous improvement in forecasting accuracy.
- Lead the monthly cash flow performance assessment, leading variance analysis against forecasts.
- This could be an ideal role for a qualified ACA Big 4 professional looking to make there first move into a PLC.
Ideal Candidate Profile:
- Qualified Chartered Accountant
- Big 4 background essential
- Strong understanding cash flow and working capital ideally with experience in building insightful analysis and using this to develop a narrative.
- Enthusiastic attitude and a desire to improve and constantly identify better ways of working.
- Ability to direct existing finance resources to deliver data and analysis you need to support this work
Contact Detail:
The Consultancy Group (London) Recruiting Team