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Key skills for this role
Lucy Electric is an international leader in intelligent secondary power distribution products and solutions, with features such as remote operation and monitoring. Linking energy generation to consumption, the business specialises in high-performance medium and low-voltage switchgear for utility, industrial and commercial applications.
Lucy Electric is an international leader in intelligent secondary power distribution products and solutions, with features such as remote operation and monitoring. Linking energy generation to consumption, the business specialises in high-performance medium and low-voltage switchgear for utility, industrial and commercial applications.
Month-End Close & Financial Reporting
Lead the month-end close process, ensuring accurate and timely financial reporting
Ensure timely reporting of financial results within agreed deadlines
Prepare, review, and submit financial reports using OneStream (or similar systems)
Post adjustment and non-standard journal entries where required
Ensure completeness, accuracy, and integrity of the general ledger
Financial Analysis & Performance Insight
Review monthly results and perform detailed variance analysis against budget and forecast
Prepare clear financial commentary explaining performance, key drivers, risks, and opportunities
Provide financial analysis to support strategic and operational decision-making
Balance Sheet & Control Environment
Oversee balance sheet reconciliations in partnership with transactional teams
Ensure strong financial controls and compliance with accounting policies and standards
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Business Partnering & Stakeholder Support
Act as a finance business partner to operational and commercial stakeholders
Challenge and support stakeholders on the financial impact of business decisions
Work closely with transactional teams to resolve ledger and reconciliation issues
Act as cover for the Financial Controller during periods of absence, ensuring continuity of financial leadership and reporting
Undertake ad-hoc assignments as required to support business needs
Planning, Budgeting & Forecasting
Support budgeting and forecasting cycles
Contribute to financial planning processes and ensure alignment with business strategy
Qualified ACA/ACCA/CIMA with 3+ years experience
Professional membership with a recognised accountancy body
Effective communication and interpersonal skills at all levels
Ability to influence and direct people
Must be able to work independently for significant periods of time
Ability to demonstrate effective team working across all disciplines within the company
Able to prioritise workload effectively
Ability to work to tight deadlines whilst maintaining quality and attention to detail
Excellent Excel modelling skills
Ability to write financial policy and procedure documents
Knowledge of the electrical supply industry
Education to degree level or equivalent
Knowledge and use of D365
Excellent presentation skills
Responsible for timely month-end closing, preparation of month-end accounts for financial controller’s review
Prepare monthly accruals, prepayments and accounting entries
Responsibility for maintenance of financial records, including general ledger, accounts receivable, accounts payable, cash books and fixed asset register
Development of financial control systems and procedures
Oversee the accounts payable and receivable processes, including credit control
Cash management
Support analysis and appraisal of investment and financing decisions
Responsibility for compliance with the Finance Policy and Procedure Manuals
Ensure compliance with statutory accounting and tax regulations
Responsibility for all areas of the year-end audit
Preparation of statutory accounts
Review monthly payroll calculations
Oversee all VAT, PAYE and other HMRC processes
Preparation and issue of monthly management reports pack
Analyse financial reports and present findings with department heads
Development of management reporting
Fixed asset and headcount reporting
Other ad hoc reporting as required
Preparation of rolling profit forecast 3 times per year
Preparation of weekly cash forecasts
Preparation of annual budget and co-ordination of management plan
To perform tasks commensurate with the position, and to have a flexible approach within the department.
Manage, mentor and develop 3 direct reports (management accountant, credit controller and purchase ledger administrator), with overall responsibility for a team of 6.
Covering financial controller when on annual leave.
Improving people’s lives with intelligent power, smart lighting and sustainable homes.
Visit company websiteJobs and hiring trendsFull-time
Mid · 3+ years experience
Hybrid
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