This client are one of the fastest-growing investment brokerages with a highly impressive national presence. Key Responsibilities as CFO include:
Development and management of financial strategy
Development and management of annual budget and 3 year projections
Managing PandL, Cash Flow, Balance Sheet
Prepare and present monthly management accounts to the board including income and expenditure report, variance to budget report, balance sheet, key financial indicators and cash flow projections and summary of the PandL position
Overseeing staff payroll
Signing off all expenditure
Acting as main point of contact for Auditors
Development and management of all financial processes
Team development and performance management
Continuous identification of cost reduction opportunities
Active engagement with leadership team on various policies and processes across the business
Required Skills and Experience:
ACA/CIMA/ACCA qualification
Prior financial management experience within a similar market sector
Strong team leadership and management skills
A high level of motivation, a "can do" attitude and a willingness to be involved at all levels