Posted:20 hours ago|
Platform:
On-site
Full Time
With a deep understanding of the UK business environment, we empower our clients to focus on growth by seamlessly managing their operational needs. Our team of experienced professionals is committed to delivering reliable, efficient, and scalable services that help businesses stay compliant, competitive, and future-ready.
This is a broad and strategic role that requires a hands-on approach to financial management, ensuring robust financial control and driving business performance.
• Prepare and review consolidated financial statements for the group, ensuring compliance with accounting standards and reporting deadlines.
• Lead the budgeting process across all subsidiaries, setting financial targets and monitoring performance against budget throughout the year.
• Conduct in-depth financial analysis to identify trends, opportunities, and risks, providing actionable insights to senior management.
• Monitor key performance indicators (KPIs) across the group, identifying areas for improvement and driving performance optimization.
• Collaborate with business leaders to develop and execute strategic financial plans aligned with overall business objectives.
• Prepare comprehensive management reports for senior management, including detailed analysis of financial performance, variance analysis, and key metrics.
• Oversee tax planning and compliance activities across all the businesses, ensuring accurate tax filings.
• Manage and develop a team of finance professionals across different subsidiaries, providing guidance and support.
• Take full ownership of treasury management and banking operations, optimising cash flow and financial risk management strategies across the group.
• Oversee the preparation and submission of VAT(UK) returns, while managing head office payroll to ensure compliance with regulatory obligations and operational efficiency.
• Leverage Power BI and other analytical tools to enhance financial reporting capabilities, providing actionable insights and support to international subsidiaries within the group.
• Proficiency in financial ERP systems and advanced Excel skills. Additionally international software like Xero, Sage, Quickbook etc..
• Ability to analyse large datasets, interpret financial information, and draw meaningful conclusions.
• Excellent written and verbal communication skills to effectively present complex financial information to senior management.
• Proven ability to lead and motivate a team of finance professionals in India as well as UK.
• Understanding of business operations and the ability to align financial strategies with overall business goals.
• Ability to work in a fast-paced environment and manage multiple priorities.
• Significant experience in a senior finance role within a multi-company organization.
• Proven track record of managing complex financial reporting and analysis processes.
• Experience in budgeting, forecasting, due diligence and financial planning.
Full-time, In-Office (Ahmedabad, Gujarat). 5 days working.
Time: 1:30pm to 10:30pm in Winter. 12:30pm to 9:30pm in summer. (UK 8am to 5pm)
Hari International
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