Reed Accountancy
Park Royal, Middlesex
19 Jun 2017
19 Jul 2017
Contract Type
Full Time
My client is an established company based in West London.

Key Tasks and Responsibilities

Financial Strategy

• Working with the MD, assist in the delivery of key growth targets and realise performance potential.
• Ensure accurate reporting of the key financial drivers.
o Budget; performance to key sales targets.
o Margin management.
o Cash flow / debtors.
o Royalty management.
• Ensure tight contract management controls; comply with any legal necessities.
• Manage all risk compliance.
• Help maximise new online revenue streams.

Financial Controls

• Drive and deliver the financial reporting structure for the weekly Management meeting.
• Pull together all relevant information to provide an insightful set of monthly management accounts for the MD.
o Monthly; commission statements, compensation tracker reports.
o Quarterly; royalties, interest on loan account report.
• Build strong cash flow / debtor strategy and implementation.
• Devise annual budget and business forecasts with MD.
• Delivery all required statutory reporting.
• Action payroll.

Financial Process

• Communicate all financial controls in a simple and direct way.
o Accommodate needs of International clients and suppliers.
o Ensure non-financial audiences can understand and accurately record key financial data.
• Utilise SAGE to maximum effect.
• Produce monthly statements and progress payments with clients as required.
• Raise credit notes / refunds as authorised.
• Implement and monitor all financial process requirements e.g. credits terms.
• Resolve any issues with regard to financial process / policy.

My client are looking for a candidate with the following:

*Ability to manage own work load.
*Working knowledge of Sage Line 50 desirable.
*Good Communication skills written and verbally.
*Adaptable attitude.
*Ability to work in a fast paced environment.

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