Caroline is responsible for the overall running of the company finances. This involves assisting the board to run the finance operation, cash flow, forecasts, satisfying external stakeholders such as the VAT, annual and monthly budgets and forecasting and the PAYE. Her duties include cash flow, producing monthly management reports including profit and loss statements, bank reconciliation, overseeing credit control and purchase ledger and making payments.
"I work with accounts, so it was obvious, but I did love Sesame Street as a child... and now... Von, tu, tree, I have tree, payslips!"
Caroline enjoys reading swimming, gardening, dog walking and spending time with the family. She once did a charity abseil off the Cunard building in Liverpool.