Interim Liquidity Forecasting Specialist
- Recruiter
- Michael Page Finance
- Location
-
England, London
London (Central)London (Greater)
- Salary
- Negotiable
- Posted
- 06 Jan 2022
- Closes
- 03 Feb 2022
- Ref
- JN -122021-4561898
- Job Title
- Accountant
- Category
- Accountancy
- Contract Type
- Temporary
- Hours
- Full Time
- Create, improve and maintain the liquidity forecast for the business.
Client Details
- High growth telecommunications business.
Description
- Maintain the weekly cash flow forecast for the business.
- Report accurate cash flow information to key stakeholders as well as contribution to the board reporting pack.
- Report against working capital initiatives.
- Partner closely internally with various stakeholders in the finance team (c. 30 people) to educate them on accurate cash flow forecasting and reporting.
- Debt reporting.
- Covenant compliance.
- Monitoring cash movements.
Profile
- Qualified accountant (ACCA, ACA, CIMA).
- Track-record of working in a high growth business.
Job Offer
- Competitive day rate.
- Opportunity to work with a high growth business.
Similar jobs
-
New
-
New
-
New