Finance Manager (Hybrid)
- Support acquisition and integration projects from a finance and accounting perspective, coordinating with internal stakeholders and external advisers.
- Conduct financial due diligence, reviewing financial statements, accounting policies, controls, and key business risks.
- Prepare technical accounting papers and provide guidance on complex accounting matters, including business combinations, revenue recognition, leases, and share-based payments.
- Manage acquisition and post-acquisition accounting activities, including journal entries, consolidations, intercompany eliminations, and reporting requirements.
- Support the integration of acquired businesses into finance systems, processes, and reporting structures.
- Ensure compliance with relevant accounting standards (IFRS, UK GAAP and/or US GAAP) and assist with audit and regulatory requirements.
- Contribute to financial reporting, goodwill and intangible asset assessments, and acquisition-related disclosures.
- Develop and improve accounting processes, documentation, and best-practice frameworks to support future transactions.
- Partner with senior finance stakeholders on strategic projects and wider finance initiatives.
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