Do you thrive in a fast paced environment and want to join a company that is growing? Are you keen to do a broad role covering purchase and sales ledger along with cash and banking? This is a fantastic role with an opportunity to interface with the CEO and CFO so you will have massive exposure.
With innovation quite literally being at the core of everything they do, you will be working within a fast paced environment with automations and continuous improvements at the forefront.
This role will report direct to Financial Controller but with a dotted line into the Head of Supply Chain as you will support across both purchase ledger processing but also raising POs and keeping the company MRP updated.
Looking at efficiencies, you will be organised, have attention to detail and a high degree of accuracy. You will be keen to make things stronger and faster but also enjoy the day to day of transactional finance, processing invoices, handling queries and matching POs. With responsibility for cash allocations, raising sales invoice and bank reconciliations, you will have broad span of responsibility.
A hybrid position, you will work as part of a team in the office just outside of Nottingham City Centre three days a week, with two days remote. You will be expected to work on site full time during training.