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In this role, you'll manage a portfolio of 100 site accounts, producing individual P&Ls and ensuring that all financial data reflects agreed contract terms. You’ll also support month-end processes, reconcile site balance sheets, provide variance analysis, and support stakeholders with financial insight and training.
Job Responsibility:
Manage a portfolio of 100 site accounts, producing individual P&Ls and ensuring that all financial data reflects agreed contract terms
Support month-end processes, reconcile site balance sheets, provide variance analysis, and support stakeholders with financial insight and training
Preparing monthly profit and loss statements for a portfolio of sites
Managing accruals, prepayments, and reconciliations to ensure accuracy
Analysing variances and conducting contract reviews
Ensuring accurate and timely client invoicing
Supporting the wider business with financial insights and training
Identifying and correcting bookwork system errors
Driving improvements in financial processes
Requirements:
Either part-qualified (AAT/CIMA/ACCA) or bring solid experience in a similar role
A solid grasp of VAT and core accounting concepts
Confidence in Excel and general IT systems
Strong attention to detail and organisational skills
A proactive mindset, keen to improve processes and efficiency
Excellent communication skills and the ability to build strong relationships across the business
A genuine passion for delivering great service
What we offer:
Free, tasty meals
Flexible working
31 days of holiday (33 after two years)
Leave for life’s important moments
Paid volunteering days
Career development and learning opportunities
Mental health support and wellbeing perks
Pension schemes and life assurance
Exclusive discounts on entertainment, leisure, and travel