Job Title: Financial Management Professional
About the Role
We are seeking a highly skilled and experienced financial management professional to oversee daily financial operations, manage prepayments, accruals, journals, and balance sheet reconciliations. You will be responsible for supporting the preparation of management accounts, cash flow reports, forecasts, and budgets.
1. Oversee daily financial operations, including accounts payable/receivable, bank reconciliations, and general ledger postings.
2. Manage prepayments, accruals, journals, and balance sheet reconciliations.
3. Support the preparation of management accounts, cash flow reports, forecasts, and budgets.
4. Liaise with suppliers and customers, assist with VAT returns and CIS submissions.
5. Coordinate with the Finance Assistant to ensure timely completion of routine tasks.
Key Responsibilities
The ideal candidate will have strong accounting knowledge and attention to detail, proficiency in Sage (50 / 200) and Excel, organised with the ability to manage multiple deadlines, good communication and teamwork skills, analytical and problem-solving mindset, discreet and professional handling of sensitive information, flexible and reliable with a hands-on approach.
* Strong accounting knowledge and attention to detail.
* Proficiency in Sage (50 / 200) and Excel.
* Organised with the ability to manage multiple deadlines.
* Good communication and teamwork skills.
* Analytical and problem-solving mindset.
* Discreet and professional handling of sensitive information.
* Flexible and reliable with a hands-on approach.
Benefits
The successful candidate will enjoy a competitive salary, annual pay increases, pension scheme, and work-life balance.
* Competitive salary.
* Annual pay increases.
* Pension scheme.
* Work-life balance.