Management Accountant
This role is looking for someone who is able to start immediately.
Duties of the role will include;
* Prepare complete monthly management accounts and supporting schedules to the agreed timetable
* Complete month-end journals, accruals, prepayments, revenue cut-off, balance-sheet reconciliations and variance analysis
* Own routine customer invoicing and proformas, customer payment receipting and allocation, recurring payments and key payment reconciliations
* Administer stock ordering and deliveries, including approved ordering, supplier coordination, stocktakes, reconciliation and valuation
* Prepare supplier payments, verify invoices and expenses, and maintain accurate financial records and audit trails
* Assist the Head of Finance and Operations with agreed Sage 200 and finance-process changes, providing practical suggestions where appropriate
The right candidate for the role will be:
* Fully qualified or part-qualified CIMA, ACCA or ACA, or qualified by experience with substantial relevant management-accounting experience
* AAT Level 4 qualified candidates may also be considered where they can demonstrate significant experience independently preparing complete monthly management accounts
* A minimum of 3 years' recent experience in a comparable Management Accountant or senior finance role
* Recent, hands-on Sage 200 experience in a finance environment, including month end, reporting, reconciliations, customer invoicing, payment allocation and stock-related processes
* Demonstrable experience taking ownership of the full month-end process and delivering accurate management accounts to agreed deadlines
* Strong technical knowledge of month-end journals, accruals, prepayments, revenue recognition, accounting cut-off, balance-sheet reconciliations, fixed assets, depreciation and variance analysis
* Experience of customer invoicing, proformas, customer payment allocation, bank reconciliations, direct debits, supplier payments and transactional-finance controls
* Experience of stock accounting, including stock reconciliation, valuation, stocktakes and the financial administration of stock ordering and deliveries
* Advanced Microsoft Excel skills, including pivot tables, lookups, reconciliations and financial analysis
* Proven ability to investigate financial discrepancies, resolve issues and maintain accurate supporting records and audit trails