The role
is hybrid and the finance team is based in the London office two days a week.
The responsibilities Prepare statutory, regulatory and management accounts accurately and on time, ensuring compliance with relevant accounting and reporting requirements and all reporting deadlines. Perform balance sheet reconciliations, investigate variances, and resolve discrepancies in a timely and thorough manner. Support the preparation and review of financial information for internal and external stakeholders, including partners and senior management. Respond proactively to queries from stakeholders across the business, building strong working relationships and providing clear, professional financial insight. Produce analysis to support decision-making, identify trends, and improve the quality of management information. Assist with the year-end audit process, preparation of supporting schedules, and del...