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Finance Director
Birmingham - London
Job Title: Finance Director
Company: BEACON365 Limited
Location: Birmingham
Contract Type: Full Time / Permanent
Package: Up to GBP 90k salary company car or allowance other senior benefits
Background
Established in Birmingham in 1989 as a family run business, our client has expanded to become one of the UK`s most respected support service contractors. Now a market leader in total facilities management, they are able to provide a diverse range of tailored services. From commercial cleaning, site security and janitorial supplies to full building maintenance, our client provides a complete range of property management services.
Our client`s goal is to provide a single source that covers every facet of support within commercial and industrial businesses. They are 100% focussed on meeting clients` needs, enabling them to implement complete site management services, with a trusted reputation through excellent communication and dynamic service delivery.
This is an opportunity to join an ambitious Senior Leadership Team with plans to grow their business by 70% within the next 3-years. This business growth will be achieved through organic growth, acquisitions and by expanding territorially within the UK.
Significant experience in a Senior Finance role within the Facilities Management sector would be a significant advantage.
The Role
In the course of carrying out this role the post holder will:
* Lead and develop the Group Finance Team.
* Manage the finance team, including Payroll and managing budgets and the overall performance within these departments.
* Control the company`s accounting function developing strategies across all areas of the business, challenging assumptions and decision making as appropriate, providing financial analysis and guidance on all activities, plans, targets and business drivers.
* Control the budgeting process and present monthly management accounts, providing PandLs for all divisions within the business and ensure reconciliations are completed with reports to external parties (banks etc.).
* Produce clear data on profitability to report to the board and introduce job costing modules with robust invoicing procedures.
* Impact profitability positively by managing the Credit Control department and bringing in cash on time in accordance with our company terms and conditions.
* Take ultimate responsibility for company`s cash management policies.
* Ensure that all accounting systems are robust, compliant and are able to support current activities.
* Introduce streamlined and efficient invoicing procedures to enable sales figures to be produced on time for the Directors to review.
* Ensure that debtor days are closely monitored to ensure that the over 60 day`s debt is maintained at an acceptable level.
* Ensure that the business is compliant with all statutory authorities in regards to HMRC, pension liabilities and any other mandatory requirements.
* Lead on the introduction of appr
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