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Financial Accountant in Manchester)

Marc Daniels Specialist Recruitment Ltd

Manchester

Hybrid

GBP 40,000 - 60,000

Full time

30+ days ago

Job summary

An exciting opportunity has emerged for a Financial Accountant specializing in Balance Sheet management within a dynamic company in Manchester. This role not only offers hybrid working options but also promises excellent career progression. You will play a pivotal role in executing high-quality reconciliations, ensuring compliance with IFRS, and collaborating with various stakeholders. Your expertise in financial software and advanced Excel skills will be crucial as you contribute to improving processes and support strategic initiatives. Join a forward-thinking organization that values your input and offers a vibrant work environment.

Qualifications

  • Qualified or Part qualified ACCA or CIMA required.
  • Strong knowledge of accounting principles and financial analysis techniques.

Responsibilities

  • Support high-quality Balance Sheet reconciliations and ensure compliance.
  • Engage with auditors and assist in financial analysis for projects.

Skills

Balance Sheet Management
Financial Analysis
Reconciliations
Cash Management
Communication Skills
Problem-Solving Skills

Education

ACCA Qualification
CIMA Qualification

Tools

Workday
Microsoft Excel

Job description

A fantastic role has arisen for a Financial Accountant- Balance Sheet to join a large entrepreneurial company based in Manchester. This role offers hybrid working options and excellent progression opportunities.

Responsibilities:

* Support and execute high-quality Balance Sheet reconciliations, ensuring alignment with Group policy and IFRS.

* Partner with the Reporting team to deliver timely and respond to stakeholder queries.

* Monitor compliance with governance frameworks.

* Contribute to projects that improve reconciliation processes and system automation.

* Engage with auditors and internal stakeholders during reviews or queries.

* Assist the Finance Manager in ad-hoc projects and initiatives, providing financial analysis, strategic recommendations, and operational support as required.

Requirements:

* Qualified or Part qualified ACCA or CIMA.

* Sound understanding of finance or accounting roles, with a focus on balance sheet management, reconciliations, and cash management.

* Strong knowledge of accounting principles, financial analysis techniques, and cash flow management strategies.

* Proficiency in financial software and ERP systems (e.g, Workday) and advanced proficiency in Microsoft Excel.

* Excellent analytical, problem-solving, and decision-making skills, with the ability to interpret financial data and provide meaningful insights to stakeholders.

* Strong communication and interpersonal skills, with the ability to collaborate effectively with cross-functional teams and communicate financial information to non-financial stakeholders.

* Detail-oriented with a commitment to accuracy and compliance, capable of managing multiple tasks and meeting deadlines in a fast-paced environment.

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