Key Responsibilities
- Assist in Preparation of Monthly Management Accounts: Support the Finance Manager in preparing accurate monthly and yearly management accounts, including P&L, balance sheet, and cash flow statements.
- Budgeting & Forecasting: Participate in budgeting and forecasting processes, collaborating with department heads to gather data and contribute to financial planning.
- Accounts Reconciliation: Perform regular bank reconciliations, balance sheet reconciliations, and assist in maintaining the general ledger.
- Financial Reporting: Prepare regular reports and summaries for management, highlighting key financial metrics and insights.
- Ad-hoc Projects: Support finance team with ad-hoc analysis and projects to aid in business decision-making.
- Accounts Payable & Receivable Support: Oversee and assist with AP and AR functions as needed, ensuring timely and accurate processing of invoices.
- Qualifications: Part-qualified ACCA, CIMA, or equivalent, with a strong drive to complete qualification.
- Technical Skills: Proficiency in Microsoft Excel (pivot tables, v-lookups), experience with accounting software (preferably Sage or SAP), and strong analytical skills.
- Communication: Excellent interpersonal and communication skills; ability to liaise effectively with non-finance stakeholders.
- Time Management: Ability to manage multiple priorities in a fast-paced environment, ensuring accuracy and meeting deadlines.
- Flexible Working: Enjoy a hybrid work arrangement with a mix of office and remote work.
- Professional Development: Support for ongoing training, qualifications, and career development within the company.
- Competitive Salary Package: Including pension scheme, health benefits, and more.
If you are a proactive, detail-oriented finance professional looking to further your career in a supportive and collaborative environment, we would love to hear from you!