Management Accountant

Seneca Bridge Resource Partners
Bradford, UK
18 Sep 2019
02 Oct 2019
Contract Type
Full Time
The UK's number 1 distributor of leading brand appliances , one of the 1000 companies to Inspire Britain , is looking to recruit a Management Accountant.

The Management Accountant will support the Financial Director, assist the day to day accounting activities of the company and perform complex reconciliations.

• Assistant with the preparation of monthly management accounts

• Produce various reports

• Balance sheet reconciliations

• Maintenance of the fixed assets

• Manage ledgers and payment runs

• Mentor the small accounts team

• Provide assistance with year-end duties

The successful applicant will become a trusted member of the business, allowing the Financial Director to focus on more commercial duties. You will be able to work with a high level autonomy in a busy, fast paced and some times challenging environment. You will be able to demonstrate a strong background within a similar accounting role, with strong experience performing complex reconciliations.

This is an excellent opportunity for a qualified or part qualified ACCA/CIMA, for a leading organisation.

A newly created position that has arisen due to year on year growth and is an opportunity to join a company that pride themselves on their high levels of staff retention and offer a clear support and development programme for the successful candidate.

You will report into and work closely with the Finance Business Partners; very commercial in nature, allowing exposure to key stakeholders and the wider finance team on a daily basis.

You will have a solid and proven accounting background, strong work ethic and will be looking to develop and grow with the business long term.

You will be responsible for...
  • Supporting the Finance Business Partners on a daily basis in order to ensure all financial processes are reported accurately and to strict deadlines
  • Assisting in the preparation of timely and accurate monthly management accounts including providing calculations for month end reporting and accruals and prepayments
  • Performing balance sheet reconciliations to assist with the preparation of the quarter

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