Key Responsibilities
* Manage cash flow reporting and treasury activities
* Maintain the fixed asset register, including capitalisation, depreciation and intangible assets
* Prepare and manage accruals, prepayments, and reconciliations
* Prepare and submit VAT returns and statutory filings
* Perform general ledger postings and balance sheet reconciliations
* Lead monthly close, including preparation and review of management accounts
* Support year-end reporting and audit requirements
* Contribute to budgeting and forecasting cycles
About You
* Part-qualified or fully qualified accountant (ACA, ACCA, CIMA or equivalent)
* Experience with ERP systems in a multi-entity environment
* Analytical, detail-oriented, and deadline-driven
* Strong communicator with the ability to partner with operational stakeholders
£38000.00 - £45000.00 per year








