We are looking for a part time Financial Reporting Accountant, working closely with the Financial Reporting Manager to ensure accurate and timely financial reporting.
Responsibilities
Prepare and review month-end financial reports, including reconciliations and analysis to ensure accuracy.
General
This hybrid role offers the flexibility to work both remotely and from the office.
A varied role, which involves: debt reporting and management, internal stakeholder management, debt collection, weekly and month end reporting and cash flow forecasting.
Offering lots of home working, opportunities to progress, potential for study support, quarterly incentives and lots of other benefits.
Our client is a c. £30 million turnover Group of businesses, and it is growing further by acquiring new businesses.
Due to continued expansion, they now have a vacancy for a Qualified Accountant to join the business as Head of Finance
Reporting into the CEO, this is the lead finance role within the business and will assist with overseeing financial department staff in day-to-day operations.
My client is a well-regarded and rapidly expanding business within the construction / property development sector, and ideally situated within the East Midlands.
Distinct is pleased to represent a leading company known for its excellent training and development in their search for a Senior Finance Analyst Working Capital.
Boots Opticians are looking for a Senior Finance Analyst Working Capital to join our Controllership team, reporting into the Finance Manager Working Capital, Margin & Franchise Partner Accounts.This is an exciting opportunity to work within a team that has broad reach across pivotal areas of finance, including debtors and creditors, franchise partner accounts, and cash.
This is a multi-faceted role which allows you to use and develop your technical accounting knowledge and analytical mind-set, as well as build relationships with key stakeholders.
You will have responsibility for accurately delivering month end processes, as well as management of cash allocation and analysis of our balance sheet.