Preparation of the quarterly reporting for bank finance lenders.
Post adjustments and manage group company and consolidations.
Preparation of consolidated management accounts and commentary pack within monthly timetable, including support in managing and completing the monthly group reporting process from UK and European subsidiaries.
What you'll be doing as a Treasury Accountant as part of the Group Treasury team
Support half-year and year-end process including preparation of IFRS financial statements and notes/disclosures for stand-alone and consolidated financial statements.
We have a fantastic opportunity for a Temporary Group Financial Accountant - 18 week contract (inside IR35) to be responsible for delivering first class internal and external financial reporting.
You will lead in the production of monthly management packs to support strategic business objectives, annual financial statements and relevant regulatory accounting table, ensuring our reporting applies the relevant financial and regulatory reporting guidance and meets our customer and other stakeholder needs.
This will include day to day management of our property companies.
Our client is a friendly SME business who seek to hire an Assistant Accountant.
The role will sit between the Finance Manager and an Accounts Assistant taking ownership of the general ledger and financial transactions for accurate and compliant reporting, both internally and externally.
The role will also assist in providing information to the Executive team and wider business, both financial and non-financial, that can be used in day-to-day operations and decision-making.
We are seeking a detail-oriented and experienced Accounts Payable Specialist to join our clients finance team.
The ideal candidate will be responsible for managing all aspects of the accounts payable process, ensuring accuracy, timeliness, and compliance with company policies and procedures.