Your responsibilities will include:
- Manage month-end and year-end close, including journals, reconciliations, and variance analysis
- Support budgeting and forecasting processes, including maintaining rolling forecasts
- Prepare monthly management reports and Board packs with clear financial commentary
- Maintain the general ledger and ensure accuracy of financial data, including industry-specific transactions
- Provide financial analysis and modelling to support business decisions
- 5+ years’ accounting experience, ideally within large and complex environments
- Proven experience in a Management Accountant or Finance Analyst capacity (ideally within a services industry)
- Comfortable working to strict regulatory and reporting deadlines
- Intermediate to Advanced Excel skills with financial modelling capability
- Some exposure to Power BI is advantageous
- CA/CPA qualified or working towards (preferred)
- Comfortable with 5 days onsite for the first six months
- Broad exposure across financial accounting, regulatory reporting, and FP&A
- Direct interaction with senior stakeholders and Board-level reporting
- Collaborative, high-performing finance team
- Opportunity to add value and drive process improvements
