The main purpose of this role will be to improve business results by providing accurate and timely management information and reporting, along with forecasting, budgeting, and analysis/interpretation/commentary. The responsibilities will be: • Review accruals and prepayments prepared by SSC GL team for accurate financial results. • Analyse and reconcile monthly management accounts to ensure accurate results. • Prepare timely and accurate monthly management accounts packs (KPIs, P&L, Balance Sheet, Cash Flow, along with trend information). • Prepare group reporting schedules / packs. • Analyse key variances with managers and write incisive and insightful business commentary. • Prepare forecasts and budgets in co-operation with business managers. • Proactively provide a financial interpretation and advice service for non-financial managers in the business. • Implement process improvements and controls. • Provide ad hoc financial information and analyses as requested. • Using SAGE and Uniclass Enterprise (for cost accounting) packages to maintain accounts. • Extensively use MS Excel for financial information reporting. • Always work in accordance with any Risk Assessment, Method Statement or Safe System of Work. • Report and Record Near Miss situations.
Who we're looking for
To qualify for this role it is essential that you are able to demonstrate the following: • Professional accounting qualification. • Able to organise resources effectively and efficiently. • Must be pro-active and drive process improvements. • Able to meet deadlines and ensure delivery. • High level of communication skills. • Work within a team and promote team working. • Able to motivate colleagues. • Able to identify changing priorities and direct efforts accordingly.
About our client
A leading business services business on the outskirts of Glasgow
What's on offer
A salary of circa £35,000 plus benefits
Michael Page Contact For further info, apply or phone on 0141 331 7910. Job Ref: 13221641 Your application will be sent to Claire Hynds CA ATT.