To assist the Group Financial Accountant with the production and presentation of monthly financial and management accounts and Finance Board pack reports for the Group
Take ownership of intercompany re-charges between parent company and subsidiaries and among subsidiaries
Work closely with overseas subsidiaries and carry out monthly Group intercompany reconciliations
Take ownership of monthly reconciliations and reporting of two UK entities calculations and supporting papers
Review stock movements and valuation and stock provisions on a monthly basis and at year end
Required Knowledge, Skills, and Abilities
Degree educated and at least or close to completing professional accounting qualification (ACA, ACCA, CIMA)
Strong accounting executive with clear orientation to delivering results in a fast-paced environment
Experience in pulling monthly financial accounts together along with managing month end judgmental provisions and financial adjustments
Experience in project accounting would be useful.
Advanced Microsoft word and excel skills - essential
Demonstrated ability of taking ownership and responsibilities