Accounts Assistant

KPJ Group

Manchester

On-site

GBP 32,000 - 35,000

Full time

2 days ago
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Benefits offered by this job

Pension 4%
Death in Service 4x
Medicash cashback
Work anniversary day off
Monthly breakfast
Cycle to work
Salary exchange
Holiday 24 days

Job summary

KPJ Group in Worsley is looking for an Accounts Assistant to join our finance team. You will support a busy project accounting function, manage cash across multiple bank accounts and contribute to forecasting and month-end activities.

The role offers a salary between £32,000 and £35,000 per year, with Mon-Thu 7:30am–4pm and Fri 7:30am–12:30pm, plus 24 days holiday and a range of benefits.

Responsibilities

  • Managing the full financial cycle of projects, including costing, reporting and closure.
  • Managing cash across multiple bank accounts and reconciling balances.
  • Preparing and analysing weekly and monthly cash flow forecasts.
  • Supporting month-end close, including POC schedules and journal entries.
  • Supporting budget and forecast phasing for revenue and Cost of Goods Sold.
  • Assisting with monthly balance sheet reconciliations.
  • Maintaining the Fixed Asset Register.
  • Preparing ONS submissions.
  • Supporting colleagues with key finance tasks during periods of absence.
  • Completing additional finance and administrative duties as required.

Job description

We re looking for an Accounts Assistant to join a finance team in Worsley.

This is a role suited to someone looking to support a busy finance function, with responsibility across project accounting, cash management, forecasting and month-end activity.

What s on offer?
  • £32,000 £35,000 per year
  • Mon Thu 7:30am 4pm
  • Fri 7:30am 12:30pm
  • 24 days holiday
  • 4% pension
  • Death in Service at 4x salary
  • Medicash cashback plan
  • Work anniversary day off after 2 years
  • Monthly paid breakfast
  • Cycle to Work Scheme
  • Salary Exchange Scheme
What will you be doing as an Accounts Assistant?
  • Managing the full financial cycle of projects, including costing, reporting and closure
  • Managing cash across multiple bank accounts and reconciling balances
  • Preparing and analysing weekly and monthly cash flow forecasts
  • Supporting month-end close, including POC schedules and journal entries
  • Supporting budget and forecast phasing for revenue and Cost of Goods Sold
  • Assisting with monthly balance sheet reconciliations
  • Maintaining the Fixed Asset Register
  • Preparing ONS submissions
  • Supporting colleagues with key finance tasks during periods of absence
  • Completing additional finance and administrative duties as required
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