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Management Accountant FTC

TN United Kingdom

Swindon

Hybrid

GBP 42,000

Full time

Today
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Job summary

An established industry player is seeking two Management Accountants to join their dynamic Finance team in Swindon. This role offers a 12-month fixed-term contract with the potential for permanent employment. You will be responsible for generating monthly management information, preparing management accounts, and ensuring compliance with accounting standards. The position also involves coordinating investor communications and supporting audits. With a competitive salary and a hybrid working model, this is a fantastic opportunity to contribute to a forward-thinking organization while advancing your career in management accounting.

Qualifications

  • Experience in generating management information and financial reports.
  • Strong understanding of accounting standards and compliance.

Responsibilities

  • Generate monthly management information, including liquidity forecasts.
  • Prepare and analyze monthly management accounts and financial statements.

Skills

Management Accounting
Financial Analysis
Tax Compliance
Financial Reporting

Education

ACCA or equivalent qualification

Job description

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  • 12-month FTC with potential for perm opportunity after this
X2 Management Accountant roles
  • Up to 42k salary + bonus
  • Hybrid working model (Swindon SN1)
  • 12-month FTC with potential for perm opportunity after this
Our client, based in Swindon town, are looking for 2 Management Accountants to support their Finance team.

Role Responsibilities:
  1. Generate monthly management information, such as liquidity forecasts.
  2. Prepare monthly management accounts, including the analysis and reconciliation of balance sheet and income statement general ledger items, and compute net asset value for investor communication.
  3. Coordinate and manage quarterly investor/client communications, ensuring timely completion.
  4. Provide tax information to relevant tax specialists and calculate tax accruals.
  5. Analyse loan covenant compliance and report to lenders as needed.
  6. Assist in preparing annual statutory financial statements, including supporting documents and workings. Liaise with internal and external auditors to ensure audits are planned and executed properly and distribute financial statements to interested parties within required timescales.
  7. Support the review and implementation of real estate acquisition and disposal pipelines.
  8. Ensure continuous implementation and strict application of accounting standards and operational controls.
  9. Perform any other necessary duties that may arise from time to time.
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