Reporting to the Finance Manager, you will play a key role in ensuring the smooth and efficient running of financial operations. This is an excellent opportunity to build your career within a dynamic, global environment.
Key Responsibilities
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Complete assigned month-end tasks accurately and within agreed deadlines.
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Maintain fixed asset registers, lease reporting, VAT and tax reporting, cash forecasting, and other financial reporting activities.
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Analyse financial data, produce a range of financial reports, and provide informed recommendations.
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Prepare timely and accurate balance sheet reconciliations and income statement analyses.
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Support year-end close activities and statutory accounting processes.
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Assist with internal and external audit requirements, liaising with auditors as needed.
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Prepare annual tax pack documentation.
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Identify opportunities to streamline and improve processes while ensuring compliance and strong internal controls.
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Maintain and enhance Standard Operating Procedures.
What You’ll Bring
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Part-qualified CIMA / ACCA or qualified by experience
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Strong Microsoft Office skills, particularly Excel; experience with SAP is advantageous.
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High level of accuracy and attention to detail.
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Excellent verbal and written communication skills, with the ability to engage effectively with various stakeholders and build strong working relationships.
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Strong organisational skills, with the ability to prioritise and meet deadlines.
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A positive, proactive, and adaptable mindset—comfortable working both independently and as part of a team.
Package:
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Flexible and hybrid working options.
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£40,000-£45,000
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Study Support offered
* 25 days + bank holidays + birthday
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Development and career progression opportunities