Manage full bookkeeping and financial control across multiple companies and SPVs Oversee bank reconciliations, accounts receivable/payable, and supplier payments Handle VAT submissions, CIS requirements, and coordinate payroll Prepare and maintain a rolling 13-week cashflow forecast, updated weekly Produce monthly management accounts for each company Track project and property financial performance (actuals vs budgets) Maintain accurate director loan accounts and intercompany reconciliations Provide clear and timely financial information to support strategic decisions Ensure financial processes, documentation, and controls are consistently followed