Treasury Management: Manage cash flow forecasting, banking relationships, and financial operations to ensure sufficient liquidity for business needs. Compliance: Ensure adherence to GAAP/IFRS and other financial regulations. Maintain compliance with internal policies and external requirements. Process Improvement: Identify and implement enhancements in financial systems and internal controls. Collaboration More ❯
Peterborough, Cambridgeshire, United Kingdom Hybrid / WFH Options
Michael Page (UK)
Profile Qualified accountant (ideally ACA/ACCA). 3+ years post-qualification experience in a group/accounting role. Strong understanding of group consolidations, IFRS/UK GAAP. Excellent Excel and financial modelling skills; experience with ERP systems (e.g., SAP, Oracle, NetSuite) is a plus. Proven ability to influence stakeholders More ❯
Job Description: * Gather, analyze, and document business and data requirements. * Create user stories, BRDs, FRDs, data flow diagrams, and process models. * Work closely with technical teams to translate requirements into solutions. * Ensure solutions comply with data governance, regulatory, and privacy More ❯