Assistant Management Accountant
- Employer
- Marks Sattin recruitment
- Location
- London, UK
- Salary
- Competitive
- Closing date
- Apr 22, 2019
View more
- Job Role
- Trainee Accountant
- Sector
- Finance
- Contract Type
- Permanent
- Hours
- Full Time
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A leading Media company are seeking an Assistant Management Accountant to join an expanding team on a 1 year contract. The role will start as a temporary contract with the chance of going permanent dependent on performance and growth within the company through the next 12 months. In this role you will work with the Management Accounting and Reporting team and undertake a variety of tasks and processes which will contribute to the production of Management Accounts.
Responsibilities:
Responsible for month end journal preparation and postings for key areas of the P&L and balance sheet leading to monthly Management Accounts Preparation of month end marketing and technical accruals journals. Production of balance sheet reconciliations Stock reconciliation and analysis. Territories and the production of monthly intercompany sub-distribution reports. Complete journals, recharges and full reconciliations for all intercompany territories. Assisting with the co-ordinating of month end timetables with AP and AR. Provide support with additional analysis, including audit preparation Forecast and review Intercompany cash flow Requirements: Part ACCA / CIMA qualified (first time passes preferred) with at least two years' experience within another business. Experience using financial systems such as MS Navision Excellent attention to detail. An ability to review processes with clarity and create efficiencies Articulate with advanced verbal and written communication skills and the ability to present information in a clear and concise manner. Proficient use of Microsoft Office including Excel (intermediate), Word and PowerPoint If interested in the above role please send through an application ASAP.
Responsibilities:
Responsible for month end journal preparation and postings for key areas of the P&L and balance sheet leading to monthly Management Accounts Preparation of month end marketing and technical accruals journals. Production of balance sheet reconciliations Stock reconciliation and analysis. Territories and the production of monthly intercompany sub-distribution reports. Complete journals, recharges and full reconciliations for all intercompany territories. Assisting with the co-ordinating of month end timetables with AP and AR. Provide support with additional analysis, including audit preparation Forecast and review Intercompany cash flow Requirements: Part ACCA / CIMA qualified (first time passes preferred) with at least two years' experience within another business. Experience using financial systems such as MS Navision Excellent attention to detail. An ability to review processes with clarity and create efficiencies Articulate with advanced verbal and written communication skills and the ability to present information in a clear and concise manner. Proficient use of Microsoft Office including Excel (intermediate), Word and PowerPoint If interested in the above role please send through an application ASAP.
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