Overview:
Responsible for delivering accurate and timely financial information to support business decision-making. The role focuses on management reporting, budgeting, forecasting, and financial analysis, working closely with operational and senior stakeholders.
Key Responsibilities:
Preparation of monthly management accounts, including profit and loss, balance sheet, and cash flow reporting
Delivery of month-end close processes, including journals, accruals, prepayments, and reconciliations
Variance analysis against budget and forecast, with clear commentary for stakeholders
Support the annual budgeting and periodic forecasting processes
Business partnering with department heads to provide financial insight and challenge
Preparation and submission of VAT returns and ensuring compliance with HMRC requirements
Balance sheet reconciliations and maintenance of the general ledger
Monitoring cash flow and supporting working capital management
Assisting with statutory accounts and audit processes
Identifying and implementing process improvements to enhance reporting efficiency and accuracy
Supporting ad hoc financial analysis and reporting as required
Key Requirements:
Part-qualified or qualified accountant (ACCA / CIMA / ACA) or equivalent experience
Proven experience in a management accounting or similar finance role
Strong understanding of month-end processes and financial reporting
Experience with accounting systems (e.g. SAP, Sage, Xero) and advanced Excel skills
Ability to analyse data and present clear financial insights
Strong attention to detail and organisational skills
Effective communication skills with the ability to influence non-finance stakeholders
Desirable:
Experience in budgeting and forecasting
Exposure to audit processes
Experience in a commercial or fast-paced environment
Key Competencies:
Analytical and problem-solving skills
Commercial awareness
Ability to work to tight deadlines
Proactive and continuous improvement mindset
Strong interpersonal and stakeholder management skills