Responsibilities
1. Prepare and review monthly balance sheet reconciliations, identifying and resolving discrepancies
2. Drive process improvement initiatives across the month-end close and reporting cycle
3. Maintain and manage the fixed asset register in NetSuite, including additions, disposals, and depreciation
4. Collaborate with internal teams to ensure accurate financial reporting
5. Act as a key finance contact for stakeholder management, providing insight andmentary to non-finance teams
6. Support ad hoc reporting and project work during system/process transitions
About You
7. Qualified accountant (ACA/ACCA/CIMA or equivalent)
8. Strong technical accounting knowledge and hands-on experience with NetSuite
9. Proven track record of delivering process improvements and driving efficiencies
10. Confidentmunicator,fortable engaging with stakeholders across the business
11. Available to work 2-3 days per week in the office.
Job ID JN -082025-1986600