Financial Accountant
- Employer
- Anderson Knight
- Location
- Forth, Lanark, United Kingdom
- Salary
- Competitive Salary
- Closing date
- Jan 29, 2025
View more categoriesView less categories
- Job Role
- Financial Accountant
- Sector
- Finance
- Contract Type
- Permanent
- Hours
- Full Time
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Our client, a private equity backed energy company are looking to add a Financial Accountant to their new Finance team, reporting directly into the CFO.
As a Financial Accountant, you will be responsible for the day to fay finance processes and the data integrity of the finance systems. You will play a key part in driving improvement within the internal controls/processes, whilst remaining compliant and also producing the month and annual accounts.
Duties and
responsibilities:
• Perform monthly reconciliations of the balance sheet.
• Complete monthly and annual VAT reconciliations and submissions to HMRC within the required timeframes.
• Manage Fixed Assets, Accruals, and Prepayments.
• Compile and submit all necessary government statistics reporting (ONS).
• Assist with the production of the year-end audit pack, including reconciliation work and variance investigations.
• Produce monthly management accounts within the required timeframes.
• Prepare and update the weekly cash forecast, utilising data from creditors, budget/forecast, and prior week movements.
• Assist with management accounts preparation and reforecasting as required.
• Contribute to larger finance projects, such as the implementation of new finance systems and automation of AP/AR/bank transactions.
To be successful in this role, you will need to demonstrate the following:
To apply, please submit an up to date CV now for a confidential consultation.
As a Financial Accountant, you will be responsible for the day to fay finance processes and the data integrity of the finance systems. You will play a key part in driving improvement within the internal controls/processes, whilst remaining compliant and also producing the month and annual accounts.
Duties and
responsibilities:
• Perform monthly reconciliations of the balance sheet.
• Complete monthly and annual VAT reconciliations and submissions to HMRC within the required timeframes.
• Manage Fixed Assets, Accruals, and Prepayments.
• Compile and submit all necessary government statistics reporting (ONS).
• Assist with the production of the year-end audit pack, including reconciliation work and variance investigations.
• Produce monthly management accounts within the required timeframes.
• Prepare and update the weekly cash forecast, utilising data from creditors, budget/forecast, and prior week movements.
• Assist with management accounts preparation and reforecasting as required.
• Contribute to larger finance projects, such as the implementation of new finance systems and automation of AP/AR/bank transactions.
To be successful in this role, you will need to demonstrate the following:
- Fully qualified.
- Strong excel skills
- Understand of Sage
- Ability to analyse complex financial data and translate it into actionable insights.
- Excellent communication skills, with the ability to present financial information to non-financial stakeholders.
- Strong budgeting and forecasting experience
- A collaborative mindset, with the ability to work effectively across teams and departments.
To apply, please submit an up to date CV now for a confidential consultation.
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