Job Description:
My client, an international manufacturing company, requires a Group Assistant Accountant. Reporting directly to the Group Corporate Finance Manager you will support the preparation of monthly accounts for Group including fixed assets, accruals and prepayments. Key duties will include: co-ordinating and reconciling the Group cash pooling on a monthly basis (GBP & Euro); supporting the consolidation of the monthly management accounts; supporting the annual budget process with inter-company reconciliations and other ad hoc tasks. You will contribute to the year end statutory accounts, carry out bank reconciliations and maintain cash books. The role also supports senior management at internal audits of the operating sites. This will require occasional travel in the UK and Continental Europe, circa five days per annum. The ideal candidate will have experience of cash management and foreign exchange, along with experience of working in a Group head office with overseas subsidiaries. Moderate to advanced Excel skills are essential and database skills would be an advantage.
ACA / ACCA / CIMA Part Qualified