Our client is a private equity backed business based within Central London. The Executive team have been acquiring businesses and are now looking to build a group headquarters as the hub for reporting and management information. The Group Financial Controller will be the central point of contact for the international business.

Duties will include:

· Consolidating monthly management information packs.

· Daily cash monitoring and weekly reporting of group cash position

· Preparation of rolling 13 week cash flow forecast and preparing commentary.

· Preparing group expenses and monthly group VAT return

· Assisting in the budget process for 2014 delivering group P&L, balance sheet and cash flow.

· Ad hoc projects with the executive.

You will be a qualified accountant with at least three years commercial experience. Experience of IFRS & UK GAAP would be desirable. A hands on approach to work, ambition and self-confidence as well as being a strong team member is essential.

Apply

Email candidates@equityinterim.com.