About the role
1. Own full month-end close, including journals, accruals, prepayments, stock, and balance sheet reconciliations.
2. Produce monthly management accounts, MI packs, and variance analysis for Directors and senior stakeholders.
3. Prepare weekly and rolling cashflow forecasts, supporting short- and medium-term decision-making.
4. Own weekly supplier payment runs, ensuring accuracy, authorisation, and timely settlement.
5. Maintain daily bank reconciliations and owned weekly supplier payment runs, ensuring accuracy authorisation, and strong cash control.
6. Prepare VAT returns for submissions and supported year-end and audit processes.
7. Play a key role in systems and process improvements, strengthening controls and reporting efficiency.
8. Work closely with operational teams, providing practical financial support and insight.
Experience required
Qualified or Part qualified candidate
The ability to work effectively in a fast growth and changing environment
Comprehensive experience within Management Accounting
How do I apply?
If this role could be of interest please click the link to apply or email your CV to nathan.freestone@wademacdonald.com