Global private equity backed leisure organisation with a highly recognisable international brand name are looking to appoint a technically astute finance professional with excellent organisation skills and good attention to detail.
Reporting to the Financial Controller, you will oversee the production of monthly foreign exchange forecasting data for treasury and the monthly fx result. Other key duties include management of a small finance team, oversee the production of monthly old monies forecast and ledger postings, produce the management information data pack and analysis and ensure all postings and balance sheet reconciliation are performed in time for the monthly and annual close. You will work closely with the Finance Systems Manager on developments concerning and impacting foreign exchange and old monies and oversee short term and long term cashflow forecasting.
The successful candidate must possess advanced excel skills together with strong analytical and problem solving skills. You will be a results focused qualified accountant with a patient and inquisitive nature and methodical approach. On offer is the opportunity to work for a client able to offer excellent national and international career development and an excellent working culture and environment.