About your new employer We're partnering with a well-established, large-scale business with a strong national footprint. This is a stable, hands-on role suited to someone who enjoys getting into the detail, partnering with stakeholders, and delivering accurate financial insights. About your new Role This position sits within a high-performing finance team and supports a key operational division. You’ll play a critical role in reporting, reconciliations, and providing meaningful analysis to drive business decisions. Key responsibilities include: Preparing weekly and monthly financial reporting Completing detailed general ledger reconciliations Supporting forecasting processes Investigating and explaining variances against budget and forecast Partnering with operational stakeholders to provide insights Assisting with ad-hoc analysis and reporting About You! This role is ideal for someone who enjoys stability and consistency, and is looking to stay in a role long-term, rather than step into leadership quickly. To be successful, you must have: Advanced Excel skills Strong reconciliation and problem-solving ability Minimum 2-3 years years experience in a similar accounting role Confidence working with stakeholders across the business Comfortable to work 5x days in the office What’s in it for you! Stable, long-term opportunity within a large and established business Supportive team environment with clear expectations Onsite parking for convenience A role where you can add value without pressure to step into leadership If this sounds like the opportunity you’ve been waiting for, please apply now or reach out to Kate Cvetanoska.