Group Financial Controller
- Recruiter
- Goodman Masson Limited
- Location
- England, London
- Salary
- £70000 - £90000 per annum + bonus, pension
- Posted
- 13 Oct 2016
- Closes
- 20 Oct 2016
- Ref
- 27636
- Contact
- Goodman Masson
- Job Title
- Financial Controller
- Category
- Oil, Gas, Mining
- Experience Levels
- Manager
- Contract Type
- Permanent
- Hours
- Full Time
A Natural Resources business, headquartered in Central London, are currently seeking the addition of a Group Financial Controller as they move into their next phase of growth.
Reporting into the CFO, the successful applicant will be a Chartered Accountant (ACA, ACCA, CPA or equivalent) with first hand experience of compilation of statutory accounts, audit process and complex accounting eg. financial hedging, ideally in an extractive environment.
Prior experience of management accounting and cost control, project management and financial controls design and implementation are hugely advantageous.
This is an incredibly exciting opportunity at a high growth business that will grant the role holder access to the Board on a daily basis as well as allowing you access to the operations and key decision makers.
Responsibilities:
Annual statutory reporting (compilation of statutory accounts and management of audit process)
Monthly management accounting
Budgeting and reforecasting
Group consolidation
System implementation
Accounting policy development and compliance
Tax and Insurance
Risk management
Audit committee reporting
Ad hoc projects: governance and compliance
Treasury management
Reporting into the CFO, the successful applicant will be a Chartered Accountant (ACA, ACCA, CPA or equivalent) with first hand experience of compilation of statutory accounts, audit process and complex accounting eg. financial hedging, ideally in an extractive environment.
Prior experience of management accounting and cost control, project management and financial controls design and implementation are hugely advantageous.
This is an incredibly exciting opportunity at a high growth business that will grant the role holder access to the Board on a daily basis as well as allowing you access to the operations and key decision makers.
Responsibilities:
Annual statutory reporting (compilation of statutory accounts and management of audit process)
Monthly management accounting
Budgeting and reforecasting
Group consolidation
System implementation
Accounting policy development and compliance
Tax and Insurance
Risk management
Audit committee reporting
Ad hoc projects: governance and compliance
Treasury management