Our client has an urgent requirement for a post-qualified interim to join them for an initial 3 month period providing cover in their small but busy finance team.
This role will start imminently and will suit someone who is happy to be in the office three days a week in easily accessible offices on the south side of Peterborough.
This is a broad role that will include
- Month end accounts preparation and reporting
- Budgeting and forecasting
- Supporting FP&A Managers with provision of detailed analysis and advice
- Responsibility for P&L, balance sheet, cashflow and variance analysis
- Business partnering with stakeholders
- Reviewing existing processes and improving as appropriate to eradicate potential for single points of failure
This position will suit someone with proven experience working in the interim space who is capable of being hands-on whilst also being able to look at the bigger picture and add value as appropriate.
Advanced Excel experience is a must-have and exposure to system migration s would be advantageous.
This role will be hybrid with three days on site and two from home and will start imminently so send your CV for immediate consideration.
