Our client, a multinational Energy group headquartered in London with operations across Europe and North America, are currently seeking a qualified Accounting/Finance Manager to join their finance team.
Job Responsibilities:
Ensure the team deliver accurate P&L, Balance Sheet and Cash Flow each month in line with agreed group reporting deadlines
Prepare various accounting entries e.g. IAS 19, monthly corporation and deferred taxation, loan interest, IFRS 16, IAS 37, IFRS11"JointArrangements" depreciation, customer rebates, accruals, prepayments, rent-free periods and ensure accounting for the entire business is compliant with IFRS and other reference materials/sources
Coordinate the month end close process with colleagues across finance, the business and with the Shared Services Centre (SSC)
Prepare and executing monthly SAP PCA journals
Prepare quarterly reporting package comprising income statement, balance sheet and additional annexes and submit to Group Finance
Management and communication of financial risks & opportunities register
Requirements:
ACA/ACCA/CIMA (or equivalent) qualified,
Big 4/Top 10 audit experience is highly desirable
Robust knowledge of accounting standards, financial compliance and focus on financial control and stewardship
Industry experience is desirable
Highly organised, able to prioritise and effective time management