Purpose of the role:
In this role, you will work closely with the Head of Finance and the Financial Control team, ensuring that the financial data is prepared accurately and in a timely manner.
Responsibilities:
- Preparation of the firm's annual consolidated financial statements, along with individual company financial statements
- Monthly and annual consolidation of all group entities and subsequent reporting and analysis
- Preparation of monthly management accounts, including variance analysis
- MI Analysis and presenting findings
- Preparing P+L, Balance Sheet and cash flow forecasts, and preparing departmental P&L reports on a monthly basis
- Working closely with the Head of Finance, ensuring that the financial data is prepared accurately and presented in a timely manner to senior management, partners and auditors
Skills required:
- Qualified Accountant, with a minimum of five years' Accounting experience
- Commercial acumen
- Excellent analytical skills
- Excellent communication skills
- Experience utilising a practice management system; Elite 3e, Elite Enterprise would be useful but not essential