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Management Accountant

SF Recruitment

Nottingham

On-site

GBP 38,000 - 45,000

Full time

30+ days ago

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Job summary

An exciting opportunity awaits as a Management Accountant in a global business setting. This role offers the chance to develop your career while enjoying flexible working options, including hybrid arrangements. You'll be responsible for overseeing financial affairs, ensuring compliance with accounting standards, and supporting the CFO in achieving financial targets. With a focus on team collaboration and analytical skills, this position promises a dynamic work environment where your contributions will drive business success. Join a forward-thinking company that values progression and offers a supportive atmosphere for its employees.

Benefits

Study Support
Flexible Working Hours
25 Holidays + Bank Holidays

Qualifications

  • 3+ years of experience in a financial role with a focus on management accounting.
  • Early/Part Qualified in CIMA, ACA, or ACCA.

Responsibilities

  • Manage month-end, quarter-end, and year-end closing processes.
  • Reconcile stock across multiple locations and manage cash flows.

Skills

Analytical Skills
Team Collaboration
Financial Reporting
Cash Management
Budgeting

Education

CIMA/ACA/ACCA Qualification

Job description

SF are working exclusively with a brilliant client of ours who are looking for a Management Accountant based in Nottingham on a full time permanent basis. This is a really exciting opportunity for someone looking for a role working within a global business that offers progression and flexible working options.

Salary up to £45,000
Study support
Hybrid Working - 1/2 days in the office
Flexible working hours
25 Holidays + Bank Holidays

Purpose:

Responsible for the financial affairs of the American region registered companies.

Support the CFO to achieve local financial reporting targets, ensure compliance with accounting standards/ legislation and to ensure appropriate control over financial information and business processes.

Job duties:
- Manage the month-end / quarter-end / year-end closing plus annual budgeting / monthly forecasting for the company.
- Reconciliation of stock across multiple locations.
- Cash management, ensuring any surplus funds are remitted to the parent company.
- Assist with the production of statutory accounts.
- Streamline the monthly reporting with analysis and improvement plans.
- Develop and coach staff.
- Critically challenge business plans and ideas to ensure projects are realistic and achievable.
- Keeping abreast of legislative and regulatory changes to ensure to ensure good corporate governance.
- Core business KPIs -EBITDA as per business plan.
- Compliance with timetable for monthly reporting.

The ideal candidate will have the following:
- Early/Part Qualified - CIMA/ACA/ACCA
- Team Player
- 3 years experience in a Financial role doing something similar
- Self-motivated with analytical mind, attentive to detail and highly committed work ethic

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