Enable job alerts via email!

Group Accountant, Hospitality and Retail, Bury St. Edmunds, 40-45k

COREcruitment

Bury St Edmunds

On-site

GBP 40,000 - 45,000

Full time

18 days ago

Job summary

A growing finance company in Bury St Edmunds is seeking a Group Accountant to join their dynamic team. This role involves assisting with cash management, treasury operations, and compliance with financial regulations. Candidates with property, retail, or hospitality experience are welcome, although it's not essential. The position offers opportunities for personal development and career progression within an innovative and expanding organization.

Qualifications

  • Strong attention to detail with basic analytical and organisational skills.
  • Exposure to cashflow, treasury, or finance operations.
  • Awareness of company law and financial compliance.

Responsibilities

  • Assist in daily cash management activities and prepare payment runs.
  • Support treasury operations by liaising with banks and maintaining documentation.
  • Prepare financial reports and support compliance with regulations.

Skills

Attention to detail
Analytical skills
Organisational skills
Good communication skills
Proficiency in Excel

Education

Progress towards a professional accounting qualification (ACA, ACCA, CIMA)

Tools

Treasury management systems
Job description

Group Accountant, Hospitality and Retail, Bury St.Edmunds, 40-45k

We are working with an innovative, international, and exciting company that is expanding very quickly and has a great working and people culture.They are looking for the right person to come and join their dynamic and hospitality-passionate team.

They have a fantastic opportunity for a Group Accountant to join their team and support them during their growth.Property, Retail or Hospitality experience is a plus, but not essential.

This is a great opportunity for a hands-on finance specialist to join a business with great personal development and career progression options.

Key Responsibilities

  • Assist in daily cash management activities, including monitoring bank balances, preparing payment runs, and updating cash flow forecasts.
  • Support treasury operations: liaising with banks, assisting with debt and investment administration, and helping maintain bank account records and documentation.
  • Contribute to the preparation of financial reports and statutory accounts, ensuring data accuracy and supporting compliance with company law and financial regulations under supervision.
  • Provide support during internal and external audits related to treasury and financial reporting matters.
  • Maintain records for treasury transactions and reporting, helping to ensure strong internal controls.
  • Keep up to date with relevant changes in company law as directed by senior team members.
  • Assist in implementing process improvements in treasury and finance, including system upgrades and documentation.
  • Work collaboratively with the wider finance team and respond to queries from auditors, banks, and business units as required.

Required Skills

  • Strong attention to detail with basic analytical and organisational skills.
  • Exposure to cashflow, treasury, or finance operations.
  • Awareness of company law and financial compliance, with a willingness to learn and develop in these areas.
  • Good communication skills and ability to work effectively within a team.
  • Proficiency in Excel and other finance-related software; experience with treasury management systems is a plus.
  • Progress towards a professional accounting qualification (ACA, ACCA, CIMA) is an advantage but not essential.

Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.