.ABOUT USWelcome to TrustCloud, a pioneering global tech company equipped with a cutting-edge choreographer that orchestrates and safeguards secure digital transactions. At TrustCloud, our mission is to empower corporations worldwide by ensuring the security of online transactions through our TrustCloud Platform.We are on the lookout for a talented individual to join our team, responsible for managing all financial transactions. This role encompasses a wide array of responsibilities, from overseeing fixed payments and variable expenses to handling bank deposits and budgets. The selected candidate will play a crucial role in providing strategic financial insights to senior management by analysing financial data to identify profit growth opportunities.KEY RESPONSIBILITIES Financial Control: Develop and manage robust financial controls in strict accordance with the company's procedures, ensuring the integrity of financial processes.Budgeting and Forecasting: Deliver timely and precise budgeting and financial forecasting, supporting informed decision-making.Financial Performance Analysis: Analyse and interpret financial data, offering recommendations to enhance systems and financial performance.Accounting Integrity: Record, verify, consolidate, and input transactions to maintain the integrity of accounting information.Compliance and Regulation: Ensure effective accounting management, adhering to all relevant regulations and handling monthly, quarterly, and annual closings.Accounting Systems Management: Maintain day-to-day control of all accounting systems, guaranteeing accurate financial data processing according to internal procedures.Tax Management: Compute taxes and prepare tax returns to ensure compliance with tax regulations.Financial Statements: Manage balance sheets and profit/loss statements for comprehensive financial oversight.Internal Controls: Establish and maintain effective internal controls, ensuring compliance with GAAP and relevant financial and tax reporting laws.Payroll Management: Maintain payroll records in line with statutory regulations and oversee the payroll accounting process with the support of our payroll assessors.Bank Reconciliation: Record all bank payments and collections and perform reconciliation to ensure financial accuracy.Document Management: Maintain financial security by adhering to internal controls and efficiently archive documentation supporting the company's accounting.Accounting and Reconciliation: Skilfully manage payable, receivable, and debtor accounting, ensuring accurate reconciliation.REQUIREMENTSWe seek individuals with the following qualifications and attributes:Accuracy and Analytical Skills: A commitment to precision and excellent analytical abilities.Compliance with UK Regulation: Prior experience working in compliance with UK financial regulations.Financial Expertise: Proven experience in financial analysis and forecasting, with a strong understanding of economic and banking processes