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Management Accountant (Remote Working)

Employer
Axon Moore
Location
UK
Salary
Competitive
Closing date
9 Aug 2021

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Sector
Accountancy
Contract Type
Permanent
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Job Details

Axon Moore are currently recruiting for a market leading business in Manchester who are looking for a Management Accountant to join their team on an contract basis for 6-9 months.

This role can be based anywhere in the UK.

Responsibilities:

To provide accurate and timely management reporting which complies with all internal requirements
To provide regular cashflow forecasting across the regions, analysing actual cash movements against forecast
To support internal stakeholders, working with Region Finance Business Partner, by providing timely, accurate and insightful information which will assist in decision making and action planning
To compile accurate budgets and forecasts to reflect the strategy and activities of the business to agreed formats and timetables
To ensure that effective financial control is maintained within the business, working with the Local Service Providers to maintain Balance Sheet control
Responsibility for the timely and accurate production of all management accounts and monthly reporting (local and group) to agreed formats and timetables
Ensure compliance with any other regulatory reporting requirements that may arise
Analyse financial data to identify and resolve any issues and to explain any variances from budget or forecast and to assist the users of the information to understand what the numbers are representing so that they can use them to make informed and effective business decisions
Ensure that there are adequate and robust financial controls within the financial systems
Identify and make recommendations on where system and control improvements can be made
Ensure that the balance sheet is fully reconciled and reviewed every month end with any issues identified and resolved
Ensure that all operating and financial systems are reconciled to ensure completeness and integrity
Support the annual budget and periodic forecast process
Produce and manage cash flow forecasts to share with the relevant stakeholders
Ensure strict adherence to the business and group cash principles to ensure maximisation of working capital and cash flow is maintained at all times

Person Specification:

Qualified ACA/CIMA/ACCA
Immediately available/available on short notice
Excellent communication skills
Knowledge of IFRS is advantageous
Experience in a similar role
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