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Financial Accountant
  • United Kingdom - London -
2 years ago
£ 35000 Per year
Financial Accountant
Permanent
Job Description

This will be a varied role and the candidate must demonstrate a good understanding of all aspects of financial accounting. 

  • Managing the Financial Accounting Officers including: training; allocation of tasks and responsibilities; daily supervision; and performance management.
  • Preparation of monthly accounts.  Reconciling all accounting transactions ensuring they agree to the trial balance.
  • Responsibility for the ensuring the fixed asset register is kept up to date and agrees to the monthly trail balance
  • Calculate the monthly expenditure accruals including purchase order accruals and departmental accruals.
  • Managing the financial accounting transactions and controls for accounts payable, accounts receivable and payroll.
  • Completion of monthly balance sheet reconciliation including commentary.
  • Overseeing the Accounts Payable and Purchase Order System
  • Ensuring invoices and expense claims are correctly calculated, approved and coded.
  • Reviewing reconciliation of supplier statements to supplier accounts payable ledger accounts.
  • Managing the Account Receivables transaction processes including initiating Direct Debit collections; reconciling and banking cheques, postal orders and other income (credit/debit card payments); processing refunds; downloading and action BACS reports and credit control.
  • Responsible for the daily bank reconciliation for all bank accounts and producing the daily cash position spread sheet.
  • Responsible for the monthly closure of the Cashbook and bank reconciliation.
  • Maintaining a rolling cash flow forecast consistent with the financial forecast, the budget and in year forecasts as a basis for Treasury management.
  • Advising the Financial Control Manager and the Director of Finance on investment funding maturities and investment options
  • Periodically review performance of investments against the investment policy target
  • Responsible for the production of the weekly and monthly treasury report.
  • Managing the outsourced payroll function covering both the employee and CCM payroll, including:
  • Responsible for reconciling pension payments
  • Preparing and processing the month end payroll journals and produce monthly balance sheet reconciliations relating to payroll i.e. PAYE control account.
  • Responsible for processing employee season ticket loans and reconciling with the Nominal Ledger.

Required Knowledge, Skills, and Abilities
  • Be Qualified or part-qualified Accountant
  • Demonstrate previous managing experience
  • Demonstrate previous Financial Accounting experience  
  • Be Advanced in Excel skills including pivot tables and advanced formulas
  • Have high attention to detail and an orderly approach to processing.
  • Demonstrate great communication and interpersonal skills
  • Have excellent working knowledge of MS Windows –based software packages, including word processing, databases, electronic mail and the internet.
  • Work effectively in a team environment and to process deadlines
  • Have payroll and pension processing knowledge
  • Be confident with computerised accounting

Reference no: 4383

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