Finance Governance & Operational Partner

East Lothian  ‐ Onsite
This project has been archived and is not accepting more applications.
Browse open projects on our job board.

Description

Harvey Nash's public sector client are seeking a Finance Governance & Operational Business Partner.

You will be responsible for ensuring the Balance Sheet is accurate and fully reconciled and analysed. Cashflow Forecasting and ad hoc reporting will also be a requirement. You will understand and analyse the monthly KPI data for the team with a view to creating and promoting a continuous improvement culture within the Finance Directorate.

These will include but will not be limited to:

- Responsibility for ensuring the Balance Sheet is correct and complete

- Cashflow Forecasting and Management.

- Ensure robust internal financial controls are in place and adhered to

- Responsibility for ensuring all processes and procedures are in in place, up to date and being adhered to - ensuring that Debt Management, Accounts Payable and Payroll Functions are all performing in an efficient and effective manner

Skills/Experience Required

- Educated to degree level or equivalent experience.

- CCAB qualified - desirable.

- Detailed understanding of accounting principles and forecasting methodologies

- Detailed understanding of HMRC regulations relating to direct and indirect taxes including but not restricted to VAT, PAYE, NICs, IR35

- Significant experience of a range of IT packages, including Microsoft Office

To apply for this position please forward your CV to the link provided.

Start date
n.a
From
Harvey Nash Plc
Published at
25.03.2017
Project ID:
1313503
Contract type
Freelance
To apply to this project you must log in.
Register