At Eakin Healthcare, care is at the heart of everything we do. We are a family-owned global medical device company driven by a simple vision: Where Care Leads, Hope Follows. For more than 50 years, we've been developing innovative healthcare solutions that make a meaningful difference to the lives of patients around the world. Today, our team of over 700 colleagues operates across three UK manufacturing sites, 12 international sales and distribution centres, and exports to more than 60 countries worldwide. From market-leading Ostomy and Respiratory therapies to our trusted Respond home delivery service, we're committed to improving lives through innovation, quality and exceptional care. We don't just care for the people who use our products and services, we care for our colleagues too. Blended Working Bonus 25 days holiday plus bank holidays (rising to 28) Option to buy holiday days Wellbeing Programme Health Cash Plan Pension Life Assurance Enhanced Maternity/Paternity Cycle to Work Scheme Referral Scheme Long Service Awards Free Parking ABOUT THE ROLE The Group Financial Accountant is a key member of the Group Finance team, responsible for overseeing Treasury and Tax activities while providing financial planning and performance analysis to support business objectives. The role ensures effective cash and liquidity management, compliance with regulatory and accounting requirements, and the delivery of high-quality financial reporting and forecasting. Through strong technical expertise and collaboration with stakeholders across the Group, the postholder will help drive financial control, governance, and informed decision-making. KEY ACTIVITIES Treasury Oversee the preparation and review of weekly cash flow reports, ensuring accurate forecasting, variance analysis, and reporting of liquidity positions to senior management. Oversee foreign exchange hedging activities across the Group, including hedge accounting, effectiveness testing, financial reporting, and compliance with Treasury policies and accounting standards. Directing the day-to-day banking relationships and the cash flow of the Group ensuring the Group's cash flow objectives are met. Manage and maintain internal controls across Tax and Treasury processes, ensuring compliance with company policies, regulatory requirements, and best practice governance standards. Coordinate intercompany funding arrangements, including the administration of intercompany loans, interest charging, settlement of balances, and compliance with treasury policies. Liaising with finance managers, tax auditors, and consultants (UK and International) on the preparation of the annual corporation tax computations and deferred tax schedules for the holding company and all subsidiaries. Financial Planning & Analysis (FP&A) Preparation of Cashflow and Balance Sheet Budget, Forecasting, and monthly reporting. Assistance in Month End Reporting, including gathering of data and narratives. KEY SKILLS Essential Member of Chartered Accountants Ireland, Institute of Chartered Accountants in England and Wales, or Scotland or comparable institute. Qualified through a medium / large accountancy firm. Post-qualification experience at financial accountant level in a manufacturing environment, or an acceptable equivalent. Professional experience in preparing or reviewing tax computations, tax returns, and a knowledge of deferred taxation. Experience in coordinating activities with auditors, tax advisors, and corporate lawyers. Excellent written and verbal communication skills including knowledge of computer-based presentation software especially PowerPoint, Excel, Word. Ability to develop financial plans, schedules and manuals including requirements, tasks, work assignments, work calendars, financial controls, financial budgets, financial forecasts, annual business plans, and profitability reports. Willingness to travel within the United Kingdom and abroad. Ability to demonstrate a high level of emotional intelligence. KEY WORKING RELATIONSHIPS Internal CFO Director of Finance Chief Commercial Officers The Chairman and Boards of Directors Finance, Research & Development, Operations and Sales & Marketing managers and personnel. External Auditors Tax Auditors and Consultants Tax Authorities (UK, Japan, and the Netherlands) Legal advisors Banks Appropriate Industry Bodies ADDITIONAL INFORMATION Occasional Travel Requirements to core sites COMPETENCIES Balances Stakeholders Anticipating and balancing the needs of multiple stakeholders. Collaborates Building partnerships and working collaboratively with others to meet shared objectives.
Interim Group Financial Reporting Accountant employer: Eakin Healthcare
Eakin Healthcare is an exceptional employer that prioritises employee well-being and professional growth in the heart of London. With a supportive work culture, comprehensive benefits, and opportunities for career advancement, our team thrives in a collaborative environment where every member plays a vital role in delivering outstanding patient care. Join us to make a meaningful impact while enjoying a balanced work-life schedule.