Group Management Accountant

Pure Resourcing Solutions Limited

Purfleet-on-Thames

On-site

GBP 45,000 - 65,000

Full time

41 hours ago
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Job summary

Pure Resourcing Solutions Limited is partnering to recruit a Group Management Accountant. You will ensure timely production of monthly management accounts and provide financial insight to drive growth.

The role covers preparing holding company accounts, intercompany reconciliations, and consolidated reporting, with liaison to auditors. The ideal candidate has 3–5 years of accountancy experience, exposure to the commercial sector, and strong Excel skills; Power BI experience is desirable.

Qualifications

  • 3–5 years of solid accountancy experience, ideally in a commercial environment.
  • Familiarity with PowerBI is advantageous.
  • Experience handling EU VAT and multi-currency transactions.

Responsibilities

  • Production of holding company management accounts (P&L, balance sheet, cashflow) and consolidated reporting.
  • Reconcile intercompany transactions and align related-party positions.
  • Maintain balance sheet control accounts; month-end journals, prepayments, accruals, stock.
  • Deliver ad hoc analysis, reporting and project tasks as required.
  • Liaise with external auditors and prepare VAT and other tax returns.

Skills

Analytical thinking
Problem solving
Data management
Stakeholder communication

Tools

Power BI
Excel

Job description

We are excited to partner with one of the UK’s most exciting new businesses. This is a growing business with a proud commitment to offering exceptional high levels of service, whilst continuing to evolve in a competitive market. A newly created opportunity is available for a motivated Group Management Accountant.

Reporting to the Finance Manager, you will ensure the timely and accurate production of monthly management accounts, supporting the business with sound financial insight as drive growth. The work is varied, professional, and offers genuine scope to broaden your experience.

  • Production of holding company management accounts, including P&L, balance sheet and cashflow, along with consolidated reporting
  • Review and reconciliation of intercompany transactions, ensuring all related‑party positions are correctly aligned.
  • Maintenance and development of balance sheet control accounts, including: Month‑end journals, Pre‑payments and accruals and stock
  • Delivery of ad hoc analysis, reporting and project‑based tasks as required
  • Liaison with external auditors
  • Preparation of VAT and other tax returns.

The ideal candidate will bring 3–5 years of solid accountancy experience, ideally supported by exposure to the commercial sector and familiarity with PowerBI.

Confidence in handling EU VAT and multi‑currency transactions is important, along with strong analytical and problem‑solving capability, excellent data management skills and advanced Excel knowledge. Due to the entity focus across the business group / consolidations experieince is essential.

You will show initiative and take ownership and follow tasks through to completion, communicating clearly and effectively across the organisation while supporting a broad range of stakeholders. Flexibility and resilience are essential in the fast‑evolving environment, CIMA, ACCA or ACA part‑qualification is essential, study support can be provided

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