Senior Finance Analyst-2 at CAE Inc
Burgess Hill, England, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

20 Nov, 25

Salary

0.0

Posted On

20 Aug, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Word Processing, Investigation, Databases, Trial Balance, Spreadsheets

Industry

Accounting

Description

À propos de ce poste
Passionate about your field? Looking for a work environment where you can innovate and collaborate with experts from a wide range of sectors? Want to join a world-class Company and industry leader and be proud to contribute to our projects and mission? Come share your passion with us!
Summary
In this role you will deliver the internal financial reporting requirements and actively support the local operational management teams with effective financial analysis and guidance to ensure financial performance is maximised.
You are accountable for specific areas of Finance function, including statutory and taxation, Budget/Forecasting cycle, and Accounts Receivable and cashflow.
As a Senior Finance Analyst you will be the deputy for the Team Lead Accounting and Financial Reporting as required.

Key Responsibilities

  • Complete Month End process (Oracle) following Matrix and Responsibilities to ensure deadlines are met
  • Work close with the finance analyst team to improve and implement process.
  • Completion of the monthly inter-company confirmation process
  • Completion of the different corporate reporting deliverables. Month End Packs (MEP), HFM, CIT
  • Completion of the balance sheet reconciliations for each individual entity in the region (mainly for the process owner tasks)
  • Process owner and good knowledge about IFRS-16, Loan, Cash forecast, standard JEs.
  • Overall administration of the bank accounts
  • Administration of non AP (accounts payable) bank transactions
  • Controls and checks of all bank reconciliations with responsibility for the overall reconciliation
  • Administration the bank mandates in co-operation with the relevant banks and the CAE Treasury department
  • Participate in producing cash flow forecasts
  • Overall administration of the expense claim process
  • Completion of all expense claim related journal entries
  • Administration of the issue of credit cards
  • Administration of Concur and/or other expense claim systems, including training staff in the region to use these tools correctly
  • Ensure that staff expense claims are compliant with corporate policies and procedures
  • Responsible for the prepayment accounts including journal postings and reconciliations
  • Completion of VAT returns, ensuring compliance with the relevant legal filing requirements
  • Participate in the preparation of corporation tax computations for all legal entities within the region
  • Lead and/or participate in the internal and external audit process for all legal entities within the region

Knowledge/Skills/Experience

  • Full understanding of financial accounting to trial balance
  • Advanced knowledge of VAT
  • Able to work successfully with multiple foreign currencies
  • Flexibility to adapt role and tasks to changes in the business
  • Investigation of nominal account ledgers and support in the resolution of queries
  • Able to work in a fast moving environment, providing accurate and timely information to a high standard
  • Computer skills - advanced knowledge in the use of financial software applications (ERP), databases, spreadsheets, PowerPoints and word processing

Contract details & location
The position is based at our modern Commercial Aviation Training Centre in Crawley/Gatwick and offer hybrid working, 2 days on-site and 3 days from home. We are offering a permanent contract, working hours of the role are Monday to Friday with total working hours of 39 hours a week.

CAE offers

  • Attractive benefits including a flexible holiday policy.
  • Private health insurance (BUPA)
  • Healthcare cash plan
  • Pension scheme
  • Life Assurance & more!

With over 13,000 employees located in 35 countries, CAE is a global leader in training for the civil aviation, defence and security, and healthcare markets. To learn more: Visit
www.cae.com!

LI-MM2

Type d’emploi
Régulier
CAE remercie tous les candidats de leur intérêt. Toutefois, nous communiquerons uniquement avec les candidats dont l’expérience et la formation correspondent aux exigences du poste.
Employeur offrant l’égalité des chances
CAE est un employeur souscrivant au principe de l’égalité des chances pour garantir l’égalité des chances à tous les candidats, sans distinction de race, de nationalité, de couleur de peau, de religion, de sexe, d’identité et d’expression de genre, d’orientation sexuelle, de handicap, de neurodiversité, de statut d’ancien combattant, d’âge ou d’autres caractéristiques protégées par les lois locales.
Si vous ne vous reconnaissez pas dans toutes les exigences énumérées dans l’offre d’emploi, nous vous encourageons néanmoins à prendre contact avec nous et à poser votre candidature. À CAE, tout le monde est invité à contribuer à notre succès. Si des aménagements raisonnables sont nécessaires pour participer au processus de candidature ou d’entretien, veuillez nous contacter à l’adresse suivante :
CAECarrieres-Careers@cae.com

Responsibilities
  • Complete Month End process (Oracle) following Matrix and Responsibilities to ensure deadlines are met
  • Work close with the finance analyst team to improve and implement process.
  • Completion of the monthly inter-company confirmation process
  • Completion of the different corporate reporting deliverables. Month End Packs (MEP), HFM, CIT
  • Completion of the balance sheet reconciliations for each individual entity in the region (mainly for the process owner tasks)
  • Process owner and good knowledge about IFRS-16, Loan, Cash forecast, standard JEs.
  • Overall administration of the bank accounts
  • Administration of non AP (accounts payable) bank transactions
  • Controls and checks of all bank reconciliations with responsibility for the overall reconciliation
  • Administration the bank mandates in co-operation with the relevant banks and the CAE Treasury department
  • Participate in producing cash flow forecasts
  • Overall administration of the expense claim process
  • Completion of all expense claim related journal entries
  • Administration of the issue of credit cards
  • Administration of Concur and/or other expense claim systems, including training staff in the region to use these tools correctly
  • Ensure that staff expense claims are compliant with corporate policies and procedures
  • Responsible for the prepayment accounts including journal postings and reconciliations
  • Completion of VAT returns, ensuring compliance with the relevant legal filing requirements
  • Participate in the preparation of corporation tax computations for all legal entities within the region
  • Lead and/or participate in the internal and external audit process for all legal entities within the regio
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