Job Description
Company Introduction
Our client is a leading professional services firm.
Job Responsibilities and Duties
- Assist in the preparation of monthly management accounts, including the posting of journals and performing reconciliations;
- Manage the accounts payable and receivable cycles, ensuring timely invoice processing, approval, and execution of payment runs;
- Track and report on cash flow, income, and expenditure to support financial decision-making;
- Support budgeting and forecasting activities across departments;
- Ensure the accuracy, timeliness, and compliance of financial records with applicable accounting standards;
- Collaborate with team members to maintain smooth day-to-day finance operations;
- Coordinate with external auditors by providing relevant documentation and support;
- Participate in initiatives to streamline and enhance financial processes and systems;
- Maintain clear and consistent communication with management to support effective financial operations.
Experience
- Must be fully qualified with an accounting degree or ACCA (or an equivalent qualification);
- A minimum of 4 years’ experience in a similar role, such as Financial Controller, Accountant, or Auditor;
- Solid expertise in financial reporting, bookkeeping, and budget management;
- Fluent in written and spoken English.
Personal Skills
- Excellent organisational skills with the ability to manage time and priorities effectively;
- Strong attention to detail and a high level of accuracy in all financial matters;
- Demonstrates discretion and integrity when handling sensitive and confidential information;
- Proven leadership abilities paired with strong analytical and problem-solving skills.