COYNE ASSOCIATES is looking for employees for positions:
investment analyst
Responsibility
source opportunities for investment which align to strategic ambitions for growth, sustainability and social impact
undertake detailed analysis of investment opportunities including initial appraisal, internal due diligence, financial modelling and writing investment papers for investment committee
research macroeconomic conditions and sector / industry markets
prepare investment reports and make recommendations on deal structure / financial
liaise and network with intermediaries including accountants, lawyers, brokers and corporate finance advisors to generate and manage deal flow
perform due diligence, including the critical analysis of financial data on a company’s profitability, solvency, projections, and liquidity, and the financial modelling of investment case projections
credit control manager
Benefits
mobile phone
Responsibility
preparing and reviewing performance against Debt Burndown plans, working closely with Director of Debt on key targets/parameters
leading regular cross functional Debt reviews, ensuring actions are captured and followed up
work closely with in-house colleagues to ensure Debt processes and procedures remain in line with legal/regulatory/compliance requirements
ensure key system changes & implementations impacting Debt are fit for purpose and work effectively
senior accountant
Responsibility
driving group in balance sheet and cash flow management through the provision of appropriate reporting and behavioural standards
identifying opportunities for profit and balance sheet enhancement
re-engineering key reporting practices ensuring they are fit for future purpose
driving significant improvements in the financial controls across the business
managing all external stakeholder relationships with internal and external auditors, investors and bank
review of half year and full year financial accounts providing complete confidence to investors that the reported financial position is fully accurate
financial controller
Responsibility
ensuring compliance with all internal and external requirements for statutory, business and corporate reporting
responsible for all areas of the consolidated financial planning and reporting process for 4 business units
reviewing processes, identifying and implementing improvement opportunities to maximise process quality and efficiency
delivering high standards of compliance and control, ensuring that all Group and HMRC requirements are met
providing high quality management reporting for the business, providing insight & analysis to support the decision-making process, while avoiding surprises
responsible for managing the relationship with external auditors including impairment
overseeing preparation of monthly management accounts for the group & relevant subsidiaries
assist in ensuring the business meets all statutory reporting obligations and payments
tax manager
Responsibility
preparation of detailed tax computations and returns for single companies and Groups of companies
tax accounting
review of tax provisions and tax computations prepared by the shared service centre
research and prepare advice and services across multiple jurisdictions on core international tax areas
transfer Pricing benchmarking analysis - partnering with clients on a global basis
ad hoc tax advisory projects
supply Chain and Functional Analysis and preparation of supporting Transfer Pricing Documentation
advising on tax efficient trading arrangements
Requirements
CTA and/or ACA qualified with at least 2 years PQE, you will have detailed knowledge and working experience of Direct Tax in the UK across various sectors
with a strong track record on technical tax matters in a client-based environment, you will be an aspiring future leader able to work effectively and collaboratively across the business
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