Site Accountant
other jobs Churchill Howard Limited
Added before 3 hours
- England,West Midlands,Worcestershire
- full-time
- £50,000 - £55,000 per annum
Job Description:
Churchill Howard are partnering with an industry-leading firm in Droitwich Spa to recruit a Site Accountant!
Are you a finance professional seeking an exciting challenge in a progressive environment? This is an excellent opportunity to join a dynamic business where you’ll play a key role in shaping financial performance and contributing to critical projects.
Your Role
In this pivotal role, you will:
Financial Oversight
Drive financial planning and analysis for projects, ensuring they align with business goals.
Develop detailed budgets and forecasts, providing clear and actionable insights to management.
Monitor financial performance, identifying discrepancies and offering practical solutions.
Revenue & Costs
Ensure accurate tracking and reporting of project revenue and expenses in line with best practices.
Evaluate agreements to determine appropriate methods for revenue allocation.
Collaborate with internal teams to maintain accurate records and ensure compliance.
Cash Flow Management
Prepare and manage cash flow projections, keeping them aligned with project progress.
Partner with project leads to ensure timely invoicing and effective cash flow strategies.
Ensure projects are reconciled and closed efficiently within reporting timelines.
Expense Management
Establish and maintain controls to oversee project-specific and inventory-related spending.
Review and authorize financial transactions, ensuring alignment with financial plans.
Reporting & Insight
Deliver regular financial updates, including profitability reviews and variance analysis, to inform decision-making.
What You’ll Bring
To excel in this position, you’ll need:
A recognized accountancy qualification (CIMA or ACCA) and significant post-qualification experience.
Expertise in managing revenue streams and cash flow within large-scale initiatives.
Experience working within a manufacturing or operational environment.
Advanced analytical capabilities, with a strong focus on accuracy and attention to detail.
Excellent communication and interpersonal skills to engage effectively with stakeholders at all levels.
Proficiency in financial systems (e.g., SAP, Oracle, or LN) and advanced Excel abilities.
A proactive mindset, strong problem-solving skills, and the ability to thrive in a dynamic setting.
Why You Should Apply
This is a fantastic opportunity to join a forward-looking organization that values innovation and collaboration. You’ll have the chance to contribute to exciting projects, work with talented teams, and make a lasting impact.
If you’re ready to step into a challenging and rewarding role, apply today!
Are you a finance professional seeking an exciting challenge in a progressive environment? This is an excellent opportunity to join a dynamic business where you’ll play a key role in shaping financial performance and contributing to critical projects.
Your Role
In this pivotal role, you will:
Financial Oversight
Drive financial planning and analysis for projects, ensuring they align with business goals.
Develop detailed budgets and forecasts, providing clear and actionable insights to management.
Monitor financial performance, identifying discrepancies and offering practical solutions.
Revenue & Costs
Ensure accurate tracking and reporting of project revenue and expenses in line with best practices.
Evaluate agreements to determine appropriate methods for revenue allocation.
Collaborate with internal teams to maintain accurate records and ensure compliance.
Cash Flow Management
Prepare and manage cash flow projections, keeping them aligned with project progress.
Partner with project leads to ensure timely invoicing and effective cash flow strategies.
Ensure projects are reconciled and closed efficiently within reporting timelines.
Expense Management
Establish and maintain controls to oversee project-specific and inventory-related spending.
Review and authorize financial transactions, ensuring alignment with financial plans.
Reporting & Insight
Deliver regular financial updates, including profitability reviews and variance analysis, to inform decision-making.
What You’ll Bring
To excel in this position, you’ll need:
A recognized accountancy qualification (CIMA or ACCA) and significant post-qualification experience.
Expertise in managing revenue streams and cash flow within large-scale initiatives.
Experience working within a manufacturing or operational environment.
Advanced analytical capabilities, with a strong focus on accuracy and attention to detail.
Excellent communication and interpersonal skills to engage effectively with stakeholders at all levels.
Proficiency in financial systems (e.g., SAP, Oracle, or LN) and advanced Excel abilities.
A proactive mindset, strong problem-solving skills, and the ability to thrive in a dynamic setting.
Why You Should Apply
This is a fantastic opportunity to join a forward-looking organization that values innovation and collaboration. You’ll have the chance to contribute to exciting projects, work with talented teams, and make a lasting impact.
If you’re ready to step into a challenging and rewarding role, apply today!
Job number 1722071
metapel
Company Details:
Churchill Howard Limited
Building on a successful career in financial recruitment, Churchill Howard was established in 2012 by Paul O’Hara with a vision to become one of...