Assistant Management Accountant
other jobs Marc Daniels
Added before 1 Days
- England,South East,Berkshire,Wokingham
- Full Time, Permanent
- £30,000 - £40,000 per annum
Job Description:
Full job descriptionA global leader in their field seeks an assistant management accountant to support their divisional finance manager on a permanent basis. This role is offered on a hybrid basis where you will be required to travel to their office in Wokingham 2 days per week.
Suitable applicants will have prior month end accounting experience and will be part way through their AAT/ACCA or CIMA studies. In addition to having the relevant practical experience you will also need to demonstrate a positive attitude and pro-active approach.
Key responsibilities:
*Prepare balance sheet reconciliations and resolve any unreconciled items within set time period
*Perform various account analyses, identify and post any required adjusting journal entries
*Purchase ledger payments and allocation
*Processing G/L bank payment and receipts
*Supplier statement reconciliations
*Posting credit card expenditure and ensuring all applicable receipts have been received from all cardholders, and any necessary reclaimable input VAT is identified
*Bank and credit card account reconciliations
*Intercompany account reconciliations and invoicing
*Ownership of accrual and prepayment schedules
*Prepare manual journal entries for prepayments/accruals
*Assist the Finance Manager with month-end expense account analysis
*Maintain general ledger accuracy
*Support the Finance Manager during the monthly close process and look to standardize then improve tasks
Suitable applicants will have prior month end accounting experience and will be part way through their AAT/ACCA or CIMA studies. In addition to having the relevant practical experience you will also need to demonstrate a positive attitude and pro-active approach.
Key responsibilities:
*Prepare balance sheet reconciliations and resolve any unreconciled items within set time period
*Perform various account analyses, identify and post any required adjusting journal entries
*Purchase ledger payments and allocation
*Processing G/L bank payment and receipts
*Supplier statement reconciliations
*Posting credit card expenditure and ensuring all applicable receipts have been received from all cardholders, and any necessary reclaimable input VAT is identified
*Bank and credit card account reconciliations
*Intercompany account reconciliations and invoicing
*Ownership of accrual and prepayment schedules
*Prepare manual journal entries for prepayments/accruals
*Assist the Finance Manager with month-end expense account analysis
*Maintain general ledger accuracy
*Support the Finance Manager during the monthly close process and look to standardize then improve tasks
Job number 3855753
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Company Details:
Marc Daniels
Marc Daniels specialises in recruiting for all levels of finance and accountancy roles throughout the Thames Valley including Berkshire, Buckinghamshi...