Supporting the month-end reporting process, including the preparation of financial reports and KPI reporting.
Completing monthly reconciliations of key balance sheet accounts and investigating and resolving discrepancies.
Reconciling group intercompany balances and ensuring any outstanding reconciling items are investigated and resolved.
Monitoring and supporting group timesheet compliance processes.
Performing foreign exchange calculations and posting associated journals.
Supporting the management of the month-end reporting timetable to ensure all deadlines are achieved.
Requirements
A part-qualified professional accounting qualification (ACCA, CIMA, ACA or equivalent).
Degree-level education is desirable.
Strong analytical, financial reporting and reconciliation skills.
Excellent attention to detail and organisational abilities.
The ability to manage multiple priorities and work effectively to deadlines.
Strong communication skills with the confidence to build relationships across the business.
A proactive, responsible and team-oriented approach to work.
Benefits
Meaningful career progression within a growing global consultancy where your development is actively supported.
Exposure to a broad range of finance activities, offering opportunities to build your technical accounting knowledge and international business experience.
A collaborative and inclusive culture that empowers people to contribute, develop and make a real impact.