Job Description
This is a hands‐on, high‐visibility role with a robust focus on month‐end, inventory support & lots of analysis & AI work. Working closely with the Commodity Controller, you'll take ownership of key monthly duties with an eye on streamlining processes that could benefit the wider group. Duties include:
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Analysis
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Maintain and improve Excel‐based finance models, reconciliations and reporting tools.
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Validate rates and cost inputs against contracts and supporting documentation.
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Identify recurring issues and implement practical improvements to finance processes and controls.
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Support ad hoc analysis and broader finance projects as required.
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Inventory/ Operations
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Support inventory reconciliations, stock reporting and investigation of variances across sites.
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Support weekly P&L; and operational reporting where required.
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Month-End & Reporting
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Prepare balance sheet reconciliations, journals, accruals and supporting schedules.
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Investigate P&L; and balance sheet variances through to underlying transactional detail.
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Support monthly management reporting, including variance and trend analysis.
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Ensure transactions are appropriately coded, supported and reconciled.
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Inventory & Operational Support
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Support inventory reconciliations, stock reporting and investigation of variances across sites.
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Assist with PO and inventory controls and ensure agreed processes are aligned
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As the successful applicant, you will be degree qualified, enrolled or looking to enrol in your CA (the client has requested this qualification), have advanced Excel/ Power BI skills, have a keen interest or be working within AI tools. On a personal level you will be willing to learn, stretch and absorb all that the manager exposes you to.
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In return you will be offered an amazing one on one mentoring from a highly skilled CA who brings lots of experience to the team. You will be offered study support and coaching to accelerate your career.
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