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“Exciting new role, ideal for ambitious Management Accountant to join international commodity trading business. Experience of Foreign Exchange (FX), cashflow forecasting & management and reporting and international trade.”
C£65-80000 + Bonus and Benefits
Location: North West London NW11 (Nearest Tube, Northern Line, Tooting Broadway)
Hendon, Hampstead, Brent Cross, Camden Town, Islington, Enfield, Wembley, Hackney, Hammersmith, Holloway, Wood Green, Tottenham, Richmond, Ealing, St Johns Wood, Kilburn, Neasden, Park Royal, Greater London
Our client is well established and successful commodity trading business, specialising in non-ferrous metals and alloys and operating from several international locations.
As part of its ongoing growth strategy, our client has created the new role of Finance Manager to report to the CEO. Career prospects to Head of Finance/Finance Director or even CFO are a realistic possibility for the successful candidate as our client has enjoyed strong and consistent year on year growth since its inception. This role would be ideal for a commercially focused ACA or CIMA (or equivalent) qualified and ambitious management /financial accountant.
This is a fast paced, time sensitive environment and the role of Finance Manager will entail close contact with the trading team as they buy and sell metals and alloys across the world. Therefore, experience of FX Foreign Exchange in multiple currencies will be essential. In addition, the specific focus will be on finance and accounting including cash flow and management reporting. Our client works in partnership with several banks to facilitate and process large financial transactions – therefore experience of confidently working closely with banks, arranging lines of credit and timely transfer of funds will be critical.
Production of management accounts will be a core part of the role, analysing, reporting, and advising senior leadership based on solid insight and analysis to drive decision-making. In short you will operate as a trusted business partner.
You will implement financial processes, controls, and frameworks to manage the full financial cycle including liaison with an outsourced partner for the production of statutory accounts. The objective will be to bring this function in house in due course.
A creative and practical problem solver you will have a continuous improvement approach and excellent time management skills. You will be adept at managing strict deadlines with minimal supervision, operating at Board level and with excellent reporting, presentation, interpersonal and relationship building skills.
Our client operates a small and close-knit team working culture, supporting, and constructively challenging each other to deliver exception results. So, if you feel that you have skills and experience and desire to play a key role in the strategic growth of an exciting international trading company, increasing turnover and EBIT then contact us straightaway.
To apply, please email your CV, quoting reference LX 950589 to email@example.com Telephone 01905 381 320 www.martinveasey.com