Overview
Join the Close Brothers Finance Team where you will play a key role in providing wide‑ranging support to senior management, including month‑end, financial and regulatory reporting, and maintaining strong controls and documentation. The role is available on a part‑time, job‑share or full‑time basis.
Responsibilities
- Prepare month end journals and group consolidation
- Prepare group P&L analysis and balance sheet reconciliations
- Prepare first draft of annual and half year group financial statements
- Reply to requests from PwC, the group auditor
- Prepare first draft of FINREP
- Day‑to‑day cash flow and funding administration
- Cash flow reporting – actual and forecast
- Share‑based awards accounting and administration
- Maintain strong financial controls and update process and accounting documentation
Key Qualifications
- ACA or equivalent, at least part qualified
- Proven track record of delivering under pressure and to tight deadlines
- Keen attention to detail and comfortable with complex spreadsheets
- Experience of working with others across functional and geographic boundaries
- IT literate with strong knowledge of Excel, Word and PowerPoint
Nice‑to‑Have
- Experience of reporting under IFRS and FRS 102
- Experience of reporting for FTSE listed groups
- Experience of SAP
We are committed to providing an inclusive and accessible recruitment process.
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