An exciting opportunity has arisen for a Reconciliation Accountant to join a highly respected finance team based on the outskirts of Manchester City Centre (free parking), offering a hybrid working model that supports both flexibility and work-life balance. This permanent role is ideal for someone who thrives in a collaborative environment and is passionate about delivering accurate, timely, and high-quality financial data As a Reconciliation Accountant, you will play a pivotal role in maintaining the accuracy of financial records through diligent reconciliation activities. Your day-to-day responsibilities will involve managing complex account reconciliations using cutting-edge tools, supporting month-end close processes, investigating discrepancies, and contributing to ongoing process improvements. You will work closely with various teams within finance operations to ensure seamless communication and resolution of issues. Key duties include: Deliver general ledger account reconciliations by verifying all transactions have been accurately recorded in the trial balance, ensuring the integrity of financial data. Perform daily, monthly, and year-end accounting activities with precision and timeliness to support robust financial reporting cycles. Complete monthly revenue and cost of sales reconciliations, including profit and loss as well as balance sheet postings derived from these activities. Undertake timely balance sheet reconciliations at company-wide, legal entity, or business area levels as required by the business needs. Assist with or perform channel stock reconciliations to ensure inventory records are accurate and up-to-date. Investigate and clear old or stuck balances promptly to reduce risk on the balance sheet and maintain strong financial health. Utilise advanced reconciliation tools for transaction matching and balance sheet tracking, moving processes away from manual spreadsheets wherever possible. Support annual audit activities by providing accurate documentation and responding to queries efficiently throughout the audit cycle. Participate in user acceptance testing for regular software releases and other system developments to ensure smooth transitions and minimal disruption. You will ideally have experience in the following: Part-qualified assistant accountant (or equivalent) with proven experience working within a finance department focused on reconciliation tasks. Proficiency in accounting software systems-ideally an ERP system or ARCS-with an enthusiasm for leveraging technology to improve processes. A digital mindset that embraces process automation and systems solutions as opportunities for greater efficiency and accuracy. Exceptional organisational skills paired with meticulous attention to detail and strong numeracy abilities that underpin reliable financial reporting. Ability to manage multiple priorities under pressure while consistently meeting tight deadlines during critical reporting periods. Resilience when faced with uncertainty or change, demonstrating adaptability in dynamic environments such as month-end close cycles. This organisation stands out for its commitment to nurturing talent within a supportive culture that values collaboration, knowledge sharing, and personal development. Employees benefit from flexible hybrid working arrangements at an inspiring location in Manchester-a hub renowned for its vibrant atmosphere and excellent transport links. The company places great emphasis on continuous improvement through training opportunities, cross-functional projects, and exposure to innovative technologies such as advanced reconciliation tools. Click on the link to apply Robert Walters Operations Limited is an employment business and employment agency and welcomes applications from all candidates