Group Management Accountant: Insightful Consolidation

SF Partners

Hook Norton

On-site

GBP 50,000 - 65,000

Full time

14 days+

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Job summary

SF Partners is recruiting a Group Management Accountant in the UK to join the central finance team. This permanent, office-based role reports to the Group Financial Controller and offers broad responsibility for management accounts, group reporting and performance analysis.

You will prepare monthly accounts across entities, handle balance sheet reconciliations, support consolidation and provide insightful commentary to drive commercial decisions.

Qualifications

  • Part-qualified, finalist or newly qualified CIMA/ACCA accountant with strong management accounting and month-end experience.
  • Experience in a multi-entity or Group environment is preferred but not essential.
  • Strong technical grounding, confidence with balance sheet reconciliations and financial analysis.

Responsibilities

  • Preparation of monthly management accounts across multiple entities.
  • Month-end journals, accruals, prepayments and provisions.
  • Ownership of balance sheet reconciliations and financial controls.
  • Supporting Group consolidation and intercompany accounting.
  • Variance analysis against budget, forecast and prior periods.
  • Providing clear commentary and insight around financial performance.
  • Supporting budgeting, forecasting and external audit.
  • Stock, margin and cost accounting.
  • Working with operational and non-finance stakeholders.
  • Supporting improvements to finance processes, systems and reporting.

Skills

Management accounting
Month-end close
Balance sheet reconciliations
Financial analysis

Education

Part-qualified CIMA/ACCA

Job description

SF Partners is recruiting a Group Management Accountant in the UK to join the central finance team. This permanent, office-based role reports to the Group Financial Controller and offers broad responsibility for management accounts, group reporting and performance analysis.

You will prepare monthly accounts across entities, handle balance sheet reconciliations, support consolidation and provide insightful commentary to drive commercial decisions.

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