£55,000 Per year
Undetermined
Hybrid
Newcastle upon Tyne
Summary: The role of Management Accountant involves preparing and delivering accurate financial reports, analyzing financial data for strategic decision-making, and ensuring compliance with regulations. The position is within a reputable organization in the business services industry, offering a flexible hybrid working arrangement. The successful candidate will collaborate with various departments and support the year-end audit process. This is an interim position aimed at enhancing financial insights and performance monitoring.
Key Responsibilities:
- Prepare and deliver accurate monthly management accounts and financial reports.
- Analyse financial data to support strategic decision-making processes.
- Ensure compliance with financial regulations and company policies.
- Assist in preparing budgets and forecasts for the organisation.
- Collaborate with various departments to provide financial insights.
- Monitor financial performance and identify areas for improvement.
- Manage ledger reconciliation and oversee cash flow reporting.
- Support the year-end audit process and liaise with external auditors.
Key Skills:
- Strong analytical skills and attention to detail.
- Experience in preparing management accounts and financial reports.
- Knowledge of financial regulations and compliance.
- Ability to collaborate with cross-functional teams.
- Proficiency in financial software and tools.
- Excellent communication skills.
Salary (Rate): £55,000 per year
City: Newcastle upon Tyne
Country: United Kingdom
Working Arrangements: hybrid
IR35 Status: undetermined
Seniority Level: undetermined
Industry: Other
- Excellent opportunity to work in a growing and exciting industry
- Flexible hybrid working
About Our Client
The employer is a reputable organisation in the business services industry with a well-established presence. They operate as a medium-sized entity, focusing on providing exceptional services to their clients.
Job Description
- Prepare and deliver accurate monthly management accounts and financial reports.
- Analyse financial data to support strategic decision-making processes.
- Ensure compliance with financial regulations and company policies.
- Assist in preparing budgets and forecasts for the organisation.
- Collaborate with various departments to provide financial insights.
- Monitor financial performance and identify areas for improvement.
- Manage ledger reconciliation and oversee cash flow reporting.
- Support the year-end audit process and liaise with external auditors.