Accountant
Chessington
Office Based (hybrid working after probation)
45k - 50k
8.30am - 5pm
You will be involved with the production of accurate and reliable monthly financial information for the monitoring of business performance, ensuring that processes are fit for purpose and operate efficiently, and that financial control are appropriate and operate effectively for the group.
DUTIES & RESPONSIBILITIES
Reporting to the Financial Controller
- Reviewing the monthly gross profit reports to identify missing entries and preparing associated journals.
- Reviewing and reporting on overhead costs, including investigating budget variances.
- Preparing monthly journals (prepayments and accruals), liaising with budget holders regarding expenditure that has been incurred but not invoiced.
- Ensure accurate preparation of the month end group management accounts, month end balance sheet reconciliations/ report preparation.
- Prepare monthly intercompany current account reconciliations
- Ensure preparation and posting of the monthly payroll journal, liaising with Payroll departments to follow up on any queries
Overseas offices
o submission of monthly and quarterly VAT reports to local advisers and dealing with any queries.
o preparation of annual reporting pack for submission to local advisers to enable preparation of annual accounts and dealing with any queries
o responsibility for monthly financial reporting of oversees entities.
- Ad hoc duties as and when required within finance including but not limited to accurate information and report preparation.
- Payments on banking portal – ability to investigate issues and bring any queries to a resolve, as well as entering payments
KEY SKILLS:
- IT literate including strong Microsoft Excel skills as a minimum
- Excellent understanding of financial accounting and businesses processes
- High level of accuracy and attention to detail
- Excellent written and oral communication skills and an ability to interact with all levels of the organisation
EXPERIENCE / QUALIFICATIONS:
- Part/post qualified (AAT/CIMA/ACCA/ACA)
- Minimum of 3 years' experience
- Experience of management accounting, and ideally experience of managing their own corporate entity/entities
- Experience of dealing with currency transactions and general ledgers
- Experience of using multi company, multi-currency financial accounting systems – eg Microsoft Dynamics, Oracle, SAP
If you feel that you meet the requirements of this position and could add value to their small finance team, then please APPLY NOW!