reporting. Reporting to the Senior Group FP&A Manager, this role is vital to our strategy for high-margin Group Treasury in cash flow reporting. Improve management information and cost analysis. Commercial Support: and rate card models. Assist with RFPs and RFQs. Projects for 2024: Document workflow processes and create Experience with KPI reporting and stakeholder management. Strong communication and analytical skills.
Materials (BOMs) and Work-in-Progress (WIPs) management. In this pivotal role, you'll analyze their production forecasts, providing insights into cost trends and projections. Conduct regular audits of manufacturing processes inefficiencies and cost-saving opportunities. Support management decision-making by providing timely and accurate
statements, budgets, forecasts, and cashflow management. The ideal candidate will have a keen eye for Cashflow Management Stock Count Management Accounts VAT & Tax Compliance CAPEX Management Qualification