To deliver finance support for AA Contracting and group companies inclusive of sales ledger, purchase ledger, cash book management and credit control. To partner with and act as a coach to guide and enhance the financial and commercial understanding of internal stakeholders resulting in them being able to make further strengthened decisions.
Responsibilities:
Preparation of monthly management accounts and assisting with financial reporting for assigned areas of responsibility
Completion of bank reconciliations, purchase ledger and sales ledger for assigned areas of responsibility
Prepare VAT returns
Credit card payments and reconciliation
Centrally manage and ensure that the PQQ process is completed as required by the Area Managers and seek to improve the process
Identify opportunities and as agreed implement continuous improvement actions
Partnering with assigned stakeholders to improve financial and commercial acumen in their area of responsibility
Accountability:
Accuracy, confidentiality and timeliness in completion of all financial responsibilities
Reconciliation of sales ledger, purchase ledger, credit control, credit cards and management accounts
Providing a seamless service to the business in line with agreed service level agreements where applicable
Central management of the PQQ process through those engaging the suppliers e.g. Area Managers, to ensure that our suppliers meet our minimum requirements and that the process is repeated in full or in part when previously met criteria becomes obsolete e.g. Insurance Policy expires
Influencing stakeholder decisions from a financial and commercial perspective and reporting anticipated challenges outside own control to the most appropriate person in the Company
External relationships and communication:
Suppliers and clients will be a point of contact both verbally and in writing
Internal relationships and communications:
Work with and provide a service to the Commercial and Operational teams
Work within the Finance Team
Collaborate with the HSEQ System, Data and Certification Manager as required to ensure we meet accreditation requirements for the PQQ process
Key measures and targets:
They will be expected to include:
Review and further strengthen the current PQQ process to meet the requirements of our accreditations and to be audit ready
Establish and agree SLAs with the Business
Accuracy and timeliness of Financial support provided
Knowledge and Experience - Essential:
Proven experience of purchase and sales ledger
Proven experience within a Finance role with key accountabilities for a specified area of operation
Experience of sustaining profitability, quality, and service standards using key performance indicators and ratios to identify issues before they materialise
Excellent IT skills in the use of Microsoft Office including, Word, Excel and Outlook
Proven experience of effectively managing people both directly and indirectly, in the form of a team and stakeholders
Excellent analytical and organisational skills
Excellent interpersonal and communication skills and the ability to work collaboratively in an approachable and constructive manner with a range of stakeholders and all colleagues and external customers
Knowledge and Experience - Desirable:
Previous experience in a construction environment
Previous experience working with contracts operating outside the UK
Development of, implementation of and working with SLAs
Education and Training - Essential:
Part or fully qualified ACCA, CIMA or equivalent
Educated to GCSE Level or equivalent
Education and Training - Desirable:
Project Management
Internal Auditor
Tasks to be completed:
Key tasks to be completed by the role includes, but is not exclusive to:
Day-to-day management of Sage 200 Accounts for the group companies
Support to the operational teams to ensure informed decision making
Uploading of Supplier/Client invoices/credit notes
Reconciliation of Supplier/Client/Bank Accounts
Liaise with management teams to supply forecasts for each subsidiary and question variances
Preparation of Monthly Internal Management Accounts
Assist in the Consolidation process and Group Accounts
Preparation of Annual Accounts for Auditing Purposes
Assist in external year end Auditing Process
Provide advice and guidance to other Finance team members
Suggesting process improvements within the Finance Division and wider business along with assisting in implementations
PQQ process management along with HSEQ Team
Tighter control management on payment processes, linked with supplier PQQ
Timely preparation and submission of VAT/CIS returns
Job Type: Full-time
Pay: 50,000.00-60,000.00 per year
Benefits:
On-site parking
Work Location: In person
Beware of fraud agents! do not pay money to get a job
MNCJobs.co.uk will not be responsible for any payment made to a third-party. All Terms of Use are applicable.