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.