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Interim Cashflow Specialist

Distinct Recruitment
Closing date
31 Jan 2022

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Contract Type
Full Time
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This business is a rapidly growing FMCG SME in South Leicestershire. This contract is for 3 months and falls outside IR35.

They are looking to recruit an interim finance professional who can put together accurate cash flow reports. The person moving into this role will improve cash availability to enable the business to grow further.

You can view this position as almost a blank sheet of paper. Your first task will be to understand how the company operates across its operations (supply chain, manufacturing, distribution) to recognise how they link with cash flow. You will manage forecasts by looking into historical and future information alongside investigating actuals and variances.

The ultimate aim will be to produce an accurate 13-week rolling cash flow, ideally starting by the end of month one. You will work with data and some modelling work with be required. In addition, you liaise with various people across the business, including the leadership team.

The role could be full or part-time. There would be an expectation to work initially from the office (not necessarily full-time), but flexibility after this to work from home.

If you are a Finance Manager/Financial Controller, perhaps with an SME background with specific experience in this area, please apply to learn more.

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