Interim Finance Business Partner
If you are available for a quick start and meet the below criteria please do get in touch.
Key Responsibilities:
Produce timely and accurate monthly management accounts to support decision-making
Lead on balance sheet reconciliations, including intercompany accounts
Support budgeting and forecasting cycles, working closely with stakeholders
Deliver detailed bank reconciliations, including foreign currency adjustments
Partner with budget holders and senior leaders to provide meaningful financial insight
Support financial planning across operational activities within the organisation
Drive improvements in financial processes, controls, and reporting
Manage month-end activities, including accruals, prepayments, and revenue recognition
Assist in delivering a smooth and efficient month-end close
Support credit control processes to ensure effective cash flow management