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financial accountant
Morgan McKinley (South West)
Interim Financial Accountant
Morgan McKinley (South West) Bristol, Gloucestershire
Interim Completions Accountant - Acquisition Finance Location: Bristol Hybrid Rate: From 50,000 Duration: 12 Months We're supporting a fast-paced, deal-driven business looking for an experienced Completions Accountant to support their acquisition finance team on an interim basis. This is a key role focused on ensuring the smooth financial transition of new acquisitions into the group. Key Responsibilities: Lead all finance-related aspects of deal completion and post-acquisition integration Liaise with deal teams, legal, and external advisors to validate financial elements of SPA/completion accounts Prepare and review completion accounts, working capital calculations, and purchase price adjustments Ensure accurate handover of acquired entities into group reporting structures Reconcile opening balance sheets and manage consolidation entries post-acquisition Support valuation models and assist with due diligence where required Identify and resolve accounting issues and differences in policies or practices Ideal Candidate: Qualified accountant (ACA/ACCA/CIMA) with strong technical knowledge Proven experience in M&A/completions accounting, ideally in a fast-paced or private equity-backed environment Confident navigating SPAs, completion mechanisms and financial clauses Strong commercial acumen and excellent attention to detail Available at short notice and comfortable working autonomously
Jul 25, 2025
Seasonal
Interim Completions Accountant - Acquisition Finance Location: Bristol Hybrid Rate: From 50,000 Duration: 12 Months We're supporting a fast-paced, deal-driven business looking for an experienced Completions Accountant to support their acquisition finance team on an interim basis. This is a key role focused on ensuring the smooth financial transition of new acquisitions into the group. Key Responsibilities: Lead all finance-related aspects of deal completion and post-acquisition integration Liaise with deal teams, legal, and external advisors to validate financial elements of SPA/completion accounts Prepare and review completion accounts, working capital calculations, and purchase price adjustments Ensure accurate handover of acquired entities into group reporting structures Reconcile opening balance sheets and manage consolidation entries post-acquisition Support valuation models and assist with due diligence where required Identify and resolve accounting issues and differences in policies or practices Ideal Candidate: Qualified accountant (ACA/ACCA/CIMA) with strong technical knowledge Proven experience in M&A/completions accounting, ideally in a fast-paced or private equity-backed environment Confident navigating SPAs, completion mechanisms and financial clauses Strong commercial acumen and excellent attention to detail Available at short notice and comfortable working autonomously
Cooper Parry
NetSuite Project Manager
Cooper Parry
About the role Are you a problem-solving Project Manager who can see an upcoming risk and loves finding the solution to mitigate it? We're looking for an experienced Project Manager to join our award-winning NetSuite Partner, MacroFin. Your role will be instrumental to managing the full project lifecycle, from planning and configuration to testing, training, and go-live, you'll ensure alignment with our clients business goals and timelines. Day to day you can expect to: Responsible for PM'ing a portfolio of projects (large/complex) Manage budget overruns and change requests Plan internal and external project meetings Monitor and communicate project budget internally/externally Team lead responsible for PMO performance and co-ordination Proactively check with project team on estimate time to complete tasks in line with project budget and liaises with SMT about project pricing improvements Handle project escalations internally/externally liaising with Sponsor's from both sides Resource planning for new projects Run internal PMO meetings to plan and communicate process improvement, driving PMO consistency and efficiencies wherever possible You may also be the point of escalation for smaller projects supporting other PMs. About you As a Project Manager, you'll be an organised, adaptable individual with a mind for finding solutions to the problem. You'll have top notch communication skills and comfortable working autonomously - for us, it's all about trust. You will need: To be able to lead a project from inception to close Use the project management tools available to lead, control and monitor the project Understand when to adapt processes to support the client, SoW /timeline Proven experience in identifying risks & issues and put in place structures to mitigate or remove risks Understand the key elements of a project, their impact to the timeline and can adjust accordingly Emotional intelligence, able to relate to the pressures of both internal and external stakeholders to get the best out of all team members Stakeholder management, leading conversations with stakeholders at all levels of the project team, understanding the needs of each Ideally has some experience with Salesforce / NetSuite Project management knowledge - completed Prince2 / PMP or equivalent Project Management certification About us MacroFin are an award-winning NetSuite Alliance Partner; run by accountants, for accountants. Now part of Cooper Parry - The Rebels of Accountancy, it is an exciting time to be part of this rocket ship. Launched in 2018, the MacroFin team have looked to flip the Finance ERP model on it's head, changing the way the systems are implemented. Now boasting a unique finance led approach, resulting in a quicker average go-live, client satisfaction and success. What do we look like now: 40+ team members, including 16 Senior Financial Consultants Delivered 300+ successful projects for some of the worlds fastest growing and most recognisable brands Five-time NetSuite Partner of the Year award-winners What's in it for you Our people are the beating heart of our culture. We know that if you love working here, and you're given the trust and autonomy to work in a way that best suits you, you'll produce amazing results. That's why we offer things like: Remote role with occasional travel to Cooper Parry office locations & client sites to collaborate with the team and meet clients Generous holiday entitlement Funding for employee training courses for continued professional development Close-knit, collaborative team who promote the sharing of ideas and innovative technical solutions Bonus Scheme Feeling supported and welcomed is such a big part of bringing your whole self to work. As an equal opportunities employer, we'll work with you to ensure you have everything you need to develop your skills and achieve your best. Get in touch if you have any questions about our commitment to Diversity & Inclusion or about accessibility/accommodations during your application process. A note for recruitment agencies - unsolicited CVs will not be honoured. We will only accept CV submissions for roles briefed to you by our Talent Acquisition team.
Jul 25, 2025
Full time
About the role Are you a problem-solving Project Manager who can see an upcoming risk and loves finding the solution to mitigate it? We're looking for an experienced Project Manager to join our award-winning NetSuite Partner, MacroFin. Your role will be instrumental to managing the full project lifecycle, from planning and configuration to testing, training, and go-live, you'll ensure alignment with our clients business goals and timelines. Day to day you can expect to: Responsible for PM'ing a portfolio of projects (large/complex) Manage budget overruns and change requests Plan internal and external project meetings Monitor and communicate project budget internally/externally Team lead responsible for PMO performance and co-ordination Proactively check with project team on estimate time to complete tasks in line with project budget and liaises with SMT about project pricing improvements Handle project escalations internally/externally liaising with Sponsor's from both sides Resource planning for new projects Run internal PMO meetings to plan and communicate process improvement, driving PMO consistency and efficiencies wherever possible You may also be the point of escalation for smaller projects supporting other PMs. About you As a Project Manager, you'll be an organised, adaptable individual with a mind for finding solutions to the problem. You'll have top notch communication skills and comfortable working autonomously - for us, it's all about trust. You will need: To be able to lead a project from inception to close Use the project management tools available to lead, control and monitor the project Understand when to adapt processes to support the client, SoW /timeline Proven experience in identifying risks & issues and put in place structures to mitigate or remove risks Understand the key elements of a project, their impact to the timeline and can adjust accordingly Emotional intelligence, able to relate to the pressures of both internal and external stakeholders to get the best out of all team members Stakeholder management, leading conversations with stakeholders at all levels of the project team, understanding the needs of each Ideally has some experience with Salesforce / NetSuite Project management knowledge - completed Prince2 / PMP or equivalent Project Management certification About us MacroFin are an award-winning NetSuite Alliance Partner; run by accountants, for accountants. Now part of Cooper Parry - The Rebels of Accountancy, it is an exciting time to be part of this rocket ship. Launched in 2018, the MacroFin team have looked to flip the Finance ERP model on it's head, changing the way the systems are implemented. Now boasting a unique finance led approach, resulting in a quicker average go-live, client satisfaction and success. What do we look like now: 40+ team members, including 16 Senior Financial Consultants Delivered 300+ successful projects for some of the worlds fastest growing and most recognisable brands Five-time NetSuite Partner of the Year award-winners What's in it for you Our people are the beating heart of our culture. We know that if you love working here, and you're given the trust and autonomy to work in a way that best suits you, you'll produce amazing results. That's why we offer things like: Remote role with occasional travel to Cooper Parry office locations & client sites to collaborate with the team and meet clients Generous holiday entitlement Funding for employee training courses for continued professional development Close-knit, collaborative team who promote the sharing of ideas and innovative technical solutions Bonus Scheme Feeling supported and welcomed is such a big part of bringing your whole self to work. As an equal opportunities employer, we'll work with you to ensure you have everything you need to develop your skills and achieve your best. Get in touch if you have any questions about our commitment to Diversity & Inclusion or about accessibility/accommodations during your application process. A note for recruitment agencies - unsolicited CVs will not be honoured. We will only accept CV submissions for roles briefed to you by our Talent Acquisition team.
Payments Planning and Analysis, Trade & Working Capital - Vice President
Pinnacle Enterprise Risk Consulting Services, LLC
Join JPMorgan Chase, a global leader in financial services, and make a tangible impact on our operations worldwide. As a Vice President in Payments Trade & Working Capital Planning & Analysis, you will drive strategic vision and collaborate with senior business leads. Elevate your career by delivering insightful financial analyses and contributing to digital transformation. Be part of a dynamic environment that values diversity and inclusion. As a Vice President in the Payments Trade & Working Capital Planning & Analysis Team, you will support the Payments organization in achieving day-to-day business objectives and shaping strategic vision. You will collaborate with diverse teams across the firm, manage critical deliverables, and contribute to impactful reporting and strategic analyses. Your strong financial acumen and strategic thinking will be key to your success in this role. Job Responsibilities: Manage end-to-end ownership of major deliverables for payments sub-businesses, including budgeting, forecasting, and analysis of key profit and loss components. Consolidate and analyze financial results and communicate actionable insights to business leads and management. Collaborate with Business Management teams and Payments Central & Strategy team on critical presentations and projects. Create and deliver robust reporting that forecasts performance and assesses the strength of offerings. Set accountabilities and expectations at all levels, including team members, peers, business partners, and senior management. Assist in digital transformation agenda by developing and presenting qualitative and quantitative financial analysis. Conduct deep dive analyses on key issues impacting business to determine root cause and propose solutions. Build and maintain strong relationships with key business stakeholders, including business heads, management, technology, and Functional Finance teams. Function as manager for Mumbai team, providing coaching, mentoring, work assignment, and training. Required Qualifications, Capabilities, and Skills: Bachelor of Arts or Bachelor of Science in Finance, Economics, or Accounting. Relevant experience in financial planning and analysis or strategic finance in the financial services industry. Strong problem-solving skills with the ability to identify and recommend solutions for performance, strategy, and organizational effectiveness. Exceptional financial modeling and analytical skills, with the ability to synthesize large and disparate data sets into clear conclusions. Strong relationship and interpersonal skills, with the ability to interact with senior business and functional executives. Strong communication, executive storytelling, and presentation skills, both written and verbal. Proficiency in PowerPoint and Excel with a high level of detail orientation. Preferred Qualifications, Capabilities, and Skills: Advanced degree or certification such as Chartered Financial Analyst, Certified Public Accountant, or Master of Business Administration. Experience in digital transformation initiatives within the financial services industry. Ability to work in a fast-paced environment and manage multiple priorities. Strong leadership skills with experience in coaching and mentoring teams. Experience in collaborating with cross-functional teams and managing stakeholder relationships. Knowledge of global financial markets and trends. Ability to conduct in-depth investigations into key business issues and propose innovative solutions. About Us J.P. Morgan is a global leader in financial services, providing strategic advice and products to the world's most prominent corporations, governments, wealthy individuals and institutional investors. Our first-class business in a first-class way approach to serving clients drives everything we do. We strive to build trusted, long-term partnerships to help our clients achieve their business objectives. We recognize that our people are our strength and the diverse talents they bring to our global workforce are directly linked to our success. We are an equal opportunity employer and place a high value on diversity and inclusion at our company. We do not discriminate on the basis of any protected attribute, including race, religion, color, national origin, gender, sexual orientation, gender identity, gender expression, age, marital or veteran status, pregnancy or disability, or any other basis protected under applicable law. We also make reasonable accommodations for applicants' and employees' religious practices and beliefs, as well as mental health or physical disability needs. Visit our FAQs for more information about requesting an accommodation. About the Team J.P. Morgan's Commercial & Investment Bank is a global leader across banking, markets, securities services and payments. Corporations, governments and institutions throughout the world entrust us with their business in more than 100 countries. The Commercial & Investment Bank provides strategic advice, raises capital, manages risk and extends liquidity in markets around the world.
Jul 25, 2025
Full time
Join JPMorgan Chase, a global leader in financial services, and make a tangible impact on our operations worldwide. As a Vice President in Payments Trade & Working Capital Planning & Analysis, you will drive strategic vision and collaborate with senior business leads. Elevate your career by delivering insightful financial analyses and contributing to digital transformation. Be part of a dynamic environment that values diversity and inclusion. As a Vice President in the Payments Trade & Working Capital Planning & Analysis Team, you will support the Payments organization in achieving day-to-day business objectives and shaping strategic vision. You will collaborate with diverse teams across the firm, manage critical deliverables, and contribute to impactful reporting and strategic analyses. Your strong financial acumen and strategic thinking will be key to your success in this role. Job Responsibilities: Manage end-to-end ownership of major deliverables for payments sub-businesses, including budgeting, forecasting, and analysis of key profit and loss components. Consolidate and analyze financial results and communicate actionable insights to business leads and management. Collaborate with Business Management teams and Payments Central & Strategy team on critical presentations and projects. Create and deliver robust reporting that forecasts performance and assesses the strength of offerings. Set accountabilities and expectations at all levels, including team members, peers, business partners, and senior management. Assist in digital transformation agenda by developing and presenting qualitative and quantitative financial analysis. Conduct deep dive analyses on key issues impacting business to determine root cause and propose solutions. Build and maintain strong relationships with key business stakeholders, including business heads, management, technology, and Functional Finance teams. Function as manager for Mumbai team, providing coaching, mentoring, work assignment, and training. Required Qualifications, Capabilities, and Skills: Bachelor of Arts or Bachelor of Science in Finance, Economics, or Accounting. Relevant experience in financial planning and analysis or strategic finance in the financial services industry. Strong problem-solving skills with the ability to identify and recommend solutions for performance, strategy, and organizational effectiveness. Exceptional financial modeling and analytical skills, with the ability to synthesize large and disparate data sets into clear conclusions. Strong relationship and interpersonal skills, with the ability to interact with senior business and functional executives. Strong communication, executive storytelling, and presentation skills, both written and verbal. Proficiency in PowerPoint and Excel with a high level of detail orientation. Preferred Qualifications, Capabilities, and Skills: Advanced degree or certification such as Chartered Financial Analyst, Certified Public Accountant, or Master of Business Administration. Experience in digital transformation initiatives within the financial services industry. Ability to work in a fast-paced environment and manage multiple priorities. Strong leadership skills with experience in coaching and mentoring teams. Experience in collaborating with cross-functional teams and managing stakeholder relationships. Knowledge of global financial markets and trends. Ability to conduct in-depth investigations into key business issues and propose innovative solutions. About Us J.P. Morgan is a global leader in financial services, providing strategic advice and products to the world's most prominent corporations, governments, wealthy individuals and institutional investors. Our first-class business in a first-class way approach to serving clients drives everything we do. We strive to build trusted, long-term partnerships to help our clients achieve their business objectives. We recognize that our people are our strength and the diverse talents they bring to our global workforce are directly linked to our success. We are an equal opportunity employer and place a high value on diversity and inclusion at our company. We do not discriminate on the basis of any protected attribute, including race, religion, color, national origin, gender, sexual orientation, gender identity, gender expression, age, marital or veteran status, pregnancy or disability, or any other basis protected under applicable law. We also make reasonable accommodations for applicants' and employees' religious practices and beliefs, as well as mental health or physical disability needs. Visit our FAQs for more information about requesting an accommodation. About the Team J.P. Morgan's Commercial & Investment Bank is a global leader across banking, markets, securities services and payments. Corporations, governments and institutions throughout the world entrust us with their business in more than 100 countries. The Commercial & Investment Bank provides strategic advice, raises capital, manages risk and extends liquidity in markets around the world.
FLETCHER GEORGE
Audit Manager
FLETCHER GEORGE Wrecclesham, Surrey
Audit Manager, Surrey, ACA or ACCA, Hybrid Working A fantastic opportunity for an ambitious ACA or ACCA Qualified Audit Manager to join a diverse and highly successful firm of Chartered Accountants and Chartered Tax Advisors. With no glass ceiling for the successful candidate, the firm offers huge scope for individual development and career progression in an inclusive environment. Hybrid working. The Role Working alongside the Partners of the firm, the Audit Manager will provide an added value service to the clients which range from SMEs to Groups, including some organisations in the not-for-profit sector. You will work with a portfolio of interesting clients and your activities will include the following: Managing a portfolio of audit clients Plan and finalise audit assignments Identifying high-level risk areas within a business during the audit process Preparation of financial statements. Supervising and supporting qualified auditors and active studiers Personal Specification You will enjoy being client facing to offer meaningful liaison with clients. You will be ACA or ACCA Qualified or the equivalent with a number of years of post qualification experience. You will have strong audit and financial statements experience working in a senior role within an audit team. You will enjoy developing and supervising a team UK GAAP, IFRS102, IFRS, and be up-to-date with all technological advances and Audit regulations. Package A salary of £60-£75k with flexibility on banding is on offer for the Audit Manager, with a fantastic package including but not limited to: Life assurance Hybrid working . Flexible working Genuine opportunity for career progression Next steps please apply to this Audit Manager role and we will aim to reply to all suitable applicants within 48 hours. About Fletcher George Recruitment: We are an inclusive finance and accountancy recruitment agency committed to attracting a diverse pool of applicants and assisting talent to find career opportunities in which they can thrive. Based in Leatherhead, we specialise in placing senior Accounting, Tax and Audit professionals resident and wishing to work in Surrey, London and the South East. Our team have over 50 years of experience recruiting in the local area. Referrals are welcome - you can receive up to £500 of Amazon or John Lewis vouchers when we successfully place your referral, just make sure they mention you when they register.
Jul 25, 2025
Full time
Audit Manager, Surrey, ACA or ACCA, Hybrid Working A fantastic opportunity for an ambitious ACA or ACCA Qualified Audit Manager to join a diverse and highly successful firm of Chartered Accountants and Chartered Tax Advisors. With no glass ceiling for the successful candidate, the firm offers huge scope for individual development and career progression in an inclusive environment. Hybrid working. The Role Working alongside the Partners of the firm, the Audit Manager will provide an added value service to the clients which range from SMEs to Groups, including some organisations in the not-for-profit sector. You will work with a portfolio of interesting clients and your activities will include the following: Managing a portfolio of audit clients Plan and finalise audit assignments Identifying high-level risk areas within a business during the audit process Preparation of financial statements. Supervising and supporting qualified auditors and active studiers Personal Specification You will enjoy being client facing to offer meaningful liaison with clients. You will be ACA or ACCA Qualified or the equivalent with a number of years of post qualification experience. You will have strong audit and financial statements experience working in a senior role within an audit team. You will enjoy developing and supervising a team UK GAAP, IFRS102, IFRS, and be up-to-date with all technological advances and Audit regulations. Package A salary of £60-£75k with flexibility on banding is on offer for the Audit Manager, with a fantastic package including but not limited to: Life assurance Hybrid working . Flexible working Genuine opportunity for career progression Next steps please apply to this Audit Manager role and we will aim to reply to all suitable applicants within 48 hours. About Fletcher George Recruitment: We are an inclusive finance and accountancy recruitment agency committed to attracting a diverse pool of applicants and assisting talent to find career opportunities in which they can thrive. Based in Leatherhead, we specialise in placing senior Accounting, Tax and Audit professionals resident and wishing to work in Surrey, London and the South East. Our team have over 50 years of experience recruiting in the local area. Referrals are welcome - you can receive up to £500 of Amazon or John Lewis vouchers when we successfully place your referral, just make sure they mention you when they register.
FLETCHER GEORGE
Tax Semi Senior
FLETCHER GEORGE Cobham, Surrey
Tax Semi Senior ACA & CTA Pathway The Opportunity A fantastic opportunity for a bright and ambitious Tax Semi Senior to continue training as a Chartered Accountant (ACA) and Chartered Tax Adviser (CTA) while gaining hands-on experience in tax. You will develop expertise in both corporate and private client tax, working on a diverse portfolio that includes: Owner-managed businesses Larger corporate groups with international interests High-net-worth individuals and trusts You ll gain exposure to both compliance and advisory work, ensuring you build strong technical and client-facing skills. What You Can Expect A structured training pathway leading to ACA & CTA qualifications Full financial support for exams, study materials, tuition, and study leave Close mentorship from experienced tax professionals, including senior managers and directors Exposure to a variety of corporate and private client tax work, covering compliance and advisory projects Hybrid working after your first year, you can work from home a couple of days a week Key Responsibilities Preparing corporate and personal tax returns for a range of clients Assisting with tax planning projects across both corporate and private client tax Supporting senior colleagues on complex advisory work, such as structuring, inheritance tax planning, and share schemes Conducting tax research and drafting client reports Assisting with HMRC enquiries and tax investigations Building client relationships and providing proactive tax advice Who We Are Looking For? 1 - 2 years experience in a similar corporate / private client / mixed tax role in practice is essential Degree 2:1 Classification or above Strong communication skills, both written and verbal A proactive and motivated approach to work and study The ability to work well both independently and as part of a team A commitment to balancing full-time work with professional study A love of all things Tax related Why Join This Firm? Work in a collaborative and supportive team Gain exposure to a wide range of clients and industries Enjoy a strong work-life balance, with hybrid working available after year one Join a firm that invests in your long-term career development This is a fantastic opportunity to build your career in tax, gaining prestigious qualifications and invaluable experience in a dynamic and professional environment. Package A salary band of £30,000 - £35,000 has been set by Fletcher George depending on relevant experience plus comprehensive Study Support - fully funded ACA & CTA qualification, including tuition, revision courses, exams, and study leave. Next Steps Apply Today for this Tax Semi Senior role . If you are looking for the next step in your career, we would love to hear from you. Please apply, and we aim to respond to all suitable applicants promptly. About Fletcher George Recruitment We are a specialist accountancy and finance recruitment agency, dedicated to helping talented professionals find career opportunities where they can thrive. Based in Leatherhead, we work with leading firms across Surrey, London, and the South East, placing senior professionals in Accounting, Tax, and Audit. Referral Bonus If you know someone perfect for this role, refer them, and if we place them successfully, you will receive up to £500 in Amazon or John Lewis vouchers. Please ensure they mention your name when registering.
Jul 25, 2025
Full time
Tax Semi Senior ACA & CTA Pathway The Opportunity A fantastic opportunity for a bright and ambitious Tax Semi Senior to continue training as a Chartered Accountant (ACA) and Chartered Tax Adviser (CTA) while gaining hands-on experience in tax. You will develop expertise in both corporate and private client tax, working on a diverse portfolio that includes: Owner-managed businesses Larger corporate groups with international interests High-net-worth individuals and trusts You ll gain exposure to both compliance and advisory work, ensuring you build strong technical and client-facing skills. What You Can Expect A structured training pathway leading to ACA & CTA qualifications Full financial support for exams, study materials, tuition, and study leave Close mentorship from experienced tax professionals, including senior managers and directors Exposure to a variety of corporate and private client tax work, covering compliance and advisory projects Hybrid working after your first year, you can work from home a couple of days a week Key Responsibilities Preparing corporate and personal tax returns for a range of clients Assisting with tax planning projects across both corporate and private client tax Supporting senior colleagues on complex advisory work, such as structuring, inheritance tax planning, and share schemes Conducting tax research and drafting client reports Assisting with HMRC enquiries and tax investigations Building client relationships and providing proactive tax advice Who We Are Looking For? 1 - 2 years experience in a similar corporate / private client / mixed tax role in practice is essential Degree 2:1 Classification or above Strong communication skills, both written and verbal A proactive and motivated approach to work and study The ability to work well both independently and as part of a team A commitment to balancing full-time work with professional study A love of all things Tax related Why Join This Firm? Work in a collaborative and supportive team Gain exposure to a wide range of clients and industries Enjoy a strong work-life balance, with hybrid working available after year one Join a firm that invests in your long-term career development This is a fantastic opportunity to build your career in tax, gaining prestigious qualifications and invaluable experience in a dynamic and professional environment. Package A salary band of £30,000 - £35,000 has been set by Fletcher George depending on relevant experience plus comprehensive Study Support - fully funded ACA & CTA qualification, including tuition, revision courses, exams, and study leave. Next Steps Apply Today for this Tax Semi Senior role . If you are looking for the next step in your career, we would love to hear from you. Please apply, and we aim to respond to all suitable applicants promptly. About Fletcher George Recruitment We are a specialist accountancy and finance recruitment agency, dedicated to helping talented professionals find career opportunities where they can thrive. Based in Leatherhead, we work with leading firms across Surrey, London, and the South East, placing senior professionals in Accounting, Tax, and Audit. Referral Bonus If you know someone perfect for this role, refer them, and if we place them successfully, you will receive up to £500 in Amazon or John Lewis vouchers. Please ensure they mention your name when registering.
FLETCHER GEORGE
Audit Senior
FLETCHER GEORGE Wrecclesham, Surrey
Our client is a forward-thinking firm who have successfully created a positive and inclusive environment for professional accountants. They are now looking to make an additional hire to join their experienced team in Farnham and offer great benefits including hybrid working. As the successful candidate: You'll be responsible for leading and managing audit engagements from planning to completion. As a Qualified Audit Senior, you will work closely with clients to understand their business processes, identify risks and control deficiencies, and provide recommendations to improve their internal controls. Provide guidance and support to team members and review work performed by junior staff, providing constructive feedback to assist with their professional development. You will be conversant and up to date with auditing standards. Desirable qualifications & experience: ACA or ACCA or equivalent required Minimum of 3 years of experience in external audit, in an accounting firm Strong knowledge of auditing standards and procedures Excellent communication skills, both written and verbal Ability to work independently and as part of a team Excellent client-facing skills Proficiency in Cloud Based technology and an Audit Software package Package Competitive salary and benefits package, as well as opportunities for professional development and advancement. If you meet the qualifications and are interested in this exciting opportunity, please submit your CV for immediate review by one of the team. Next steps please apply to this Audit Senior role and we will aim to reply to all suitable applicants within 48 hours. Fletcher George is an inclusive Leatherhead-based financial recruiter welcoming all applications relevant to the role. We are committed to attracting a diverse pool of applicants and assisting talent to find career opportunities in which they can thrive. We are an accountancy and finance recruitment agency acting as an Employment Agency. Referrals are welcome - you can receive up to £500 of Amazon or John Lewis vouchers when we successfully place your referral, just make sure they mention you when they register. The full details of Fletcher George s referral scheme are on our website.
Jul 25, 2025
Full time
Our client is a forward-thinking firm who have successfully created a positive and inclusive environment for professional accountants. They are now looking to make an additional hire to join their experienced team in Farnham and offer great benefits including hybrid working. As the successful candidate: You'll be responsible for leading and managing audit engagements from planning to completion. As a Qualified Audit Senior, you will work closely with clients to understand their business processes, identify risks and control deficiencies, and provide recommendations to improve their internal controls. Provide guidance and support to team members and review work performed by junior staff, providing constructive feedback to assist with their professional development. You will be conversant and up to date with auditing standards. Desirable qualifications & experience: ACA or ACCA or equivalent required Minimum of 3 years of experience in external audit, in an accounting firm Strong knowledge of auditing standards and procedures Excellent communication skills, both written and verbal Ability to work independently and as part of a team Excellent client-facing skills Proficiency in Cloud Based technology and an Audit Software package Package Competitive salary and benefits package, as well as opportunities for professional development and advancement. If you meet the qualifications and are interested in this exciting opportunity, please submit your CV for immediate review by one of the team. Next steps please apply to this Audit Senior role and we will aim to reply to all suitable applicants within 48 hours. Fletcher George is an inclusive Leatherhead-based financial recruiter welcoming all applications relevant to the role. We are committed to attracting a diverse pool of applicants and assisting talent to find career opportunities in which they can thrive. We are an accountancy and finance recruitment agency acting as an Employment Agency. Referrals are welcome - you can receive up to £500 of Amazon or John Lewis vouchers when we successfully place your referral, just make sure they mention you when they register. The full details of Fletcher George s referral scheme are on our website.
Director of Accounting: Science History Institute
Bryn Mawr College Brynmawr, Gwent
The Science History Institute is seeking a full-time Director of Accounting to plan, direct, and coordinate all aspects of the Institute's accounting, audit, financial, and regulatory functions and systems. The Director of Accounting will support the Chief Financial Officer with systems and processes to manage the organization's endowment and investment managers. This position will also establish and maintain a strong system of internal controls designed to mitigate all forms of risk, ensure the accuracy of reported financial results, and ensure reported results comply with generally accepted accounting principles. Other duties include supervising a Staff Accountant and Accounting Specialist. This position requires a minimum of three days a week in the office. The ideal candidate will have: Minimum of seven years of accounting experience Bachelor's degree in accounting Demonstrated proficiency using accounting software; experience with Financial Edge (FE NXT) highly desirable Minimum of three years of supervisory experience Strong proficiency using Microsoft Office Suite (Excel, Outlook, Word, and PowerPoint) Ability to work both independently at times and as part of a collaborative team Strong project-management skills, including the ability to successfully manage multiple simultaneous projects while maintaining strong attention to detail Ability to work and communicate effectively with all levels of staff To be considered for this position, please send a cover letter, resume, and contact information for three professional references to the link provided: The starting annual salary for this position is $80,000. Salary offer may be higher based on candidate's experience. The Science History Institute provides equal employment opportunities to all employees and applicants and prohibits discrimination and harassment on the basis of race, color, religion, age, sex, national origin, disability status, genetics, protected veteran status, sexual orientation, gender identity or expression, or any other characteristic protected by federal, state or local laws. The Science History Institute is committed to diversity, equity, and inclusion and strongly encourages applicants from underrepresented groups such as women, racioethnic minorities, LGBTQ+, and people with disabilities to apply. About the Science History Institute Founded in 1982, the Science History Institute collects, preserves, interprets, and shares the lesser-known and sometimes overlooked stories from the history of science and technology. And we don't just mean discoveries made in laboratories. We dive deep into the history of scientific successes and failures, with a focus on expanding knowledge and broadening our understanding of how science and society intersect. We tell the stories behind the science . Visit the Institute's museum and library, listen to our podcasts, read our magazine and blog, attend our programs, and browse our digital collections. It's all free so you can be free to discover the science in your life. Learn more atsciencehistory.org or follow us onFacebook ,Twitter , andInstagram . Bachelor's Degree To Apply To be considered for this position, please send a cover letter, resume, and contact information for three professional references to the link provided.
Jul 25, 2025
Full time
The Science History Institute is seeking a full-time Director of Accounting to plan, direct, and coordinate all aspects of the Institute's accounting, audit, financial, and regulatory functions and systems. The Director of Accounting will support the Chief Financial Officer with systems and processes to manage the organization's endowment and investment managers. This position will also establish and maintain a strong system of internal controls designed to mitigate all forms of risk, ensure the accuracy of reported financial results, and ensure reported results comply with generally accepted accounting principles. Other duties include supervising a Staff Accountant and Accounting Specialist. This position requires a minimum of three days a week in the office. The ideal candidate will have: Minimum of seven years of accounting experience Bachelor's degree in accounting Demonstrated proficiency using accounting software; experience with Financial Edge (FE NXT) highly desirable Minimum of three years of supervisory experience Strong proficiency using Microsoft Office Suite (Excel, Outlook, Word, and PowerPoint) Ability to work both independently at times and as part of a collaborative team Strong project-management skills, including the ability to successfully manage multiple simultaneous projects while maintaining strong attention to detail Ability to work and communicate effectively with all levels of staff To be considered for this position, please send a cover letter, resume, and contact information for three professional references to the link provided: The starting annual salary for this position is $80,000. Salary offer may be higher based on candidate's experience. The Science History Institute provides equal employment opportunities to all employees and applicants and prohibits discrimination and harassment on the basis of race, color, religion, age, sex, national origin, disability status, genetics, protected veteran status, sexual orientation, gender identity or expression, or any other characteristic protected by federal, state or local laws. The Science History Institute is committed to diversity, equity, and inclusion and strongly encourages applicants from underrepresented groups such as women, racioethnic minorities, LGBTQ+, and people with disabilities to apply. About the Science History Institute Founded in 1982, the Science History Institute collects, preserves, interprets, and shares the lesser-known and sometimes overlooked stories from the history of science and technology. And we don't just mean discoveries made in laboratories. We dive deep into the history of scientific successes and failures, with a focus on expanding knowledge and broadening our understanding of how science and society intersect. We tell the stories behind the science . Visit the Institute's museum and library, listen to our podcasts, read our magazine and blog, attend our programs, and browse our digital collections. It's all free so you can be free to discover the science in your life. Learn more atsciencehistory.org or follow us onFacebook ,Twitter , andInstagram . Bachelor's Degree To Apply To be considered for this position, please send a cover letter, resume, and contact information for three professional references to the link provided.
Allen Associates
Finance Manager
Allen Associates Didcot, Oxfordshire
Finance Manager This is a fantastic opportunity to join a unique registered charity on a permanent basis, responsible for the comprehensive management of the organisation's finance system, preparation and reconciliation of multiple bank accounts, balance sheet reconciliations, and the processing of payroll for approximately 20 employees Finance Manager Responsibilities This position will involve, but will not be limited to: Take full responsibility for the effective operation, accuracy, and integrity of the finance system (Sage50). Manage and support the Finance Assistant, who is primarily responsible for the purchase ledger and day-to-day transactional processing. Perform and review bank reconciliations for multiple bank accounts on a monthly basis. Maintain up-to-date and accurate balance sheet reconciliations, ensuring all postings in Sage are correct and supported by appropriate documentation. Manage monthly payroll for approximately 20 staff members, ensuring accuracy, timeliness, and compliance with all statutory requirements. Prepare and submit quarterly Group VAT Returns using Making Tax Digital (MTD) compliant software. Accurately process and reconcile monthly donations, ensuring funds are allocated correctly within the finance system. Prepare and submit Gift Aid claims to HMRC, ensuring accurate record-keeping and compliance with regulations. Work closely with the Treasurer to provide timely and accurate financial reports, management account information Liaise with external accountants and auditors, preparing schedules and documentation as required for annual audits and statutory reporting. Finance Manager Benefits Working in a hands-on and collaborative environment, this is a full-time position, based on a 35-hour working week. The role offers flexibility in how these hours are arranged, with the option to work any hours and any 5 days out of 7. Other benefits include: Free Parking Pension Sick pay after qualifying period Flexible working Casual dress and relaxed culture The Company Our client is a registered charity, representing an iconic heritage site Finance Manager Essentials Proven experience in a finance role at a similar level, with responsibility for core financial operations. Strong working knowledge of VAT regulations and compliance, ideally including experience with Group VAT Returns. Proficient in using financial software, particularly Sage 50. Excellent attention to detail and a high level of accuracy in all aspects of financial work. Ability to manage multiple tasks and adapt quickly within a fast-paced, dynamic environment. Strong interpersonal and communication skills, with the ability to explain financial information clearly to non-finance colleagues. Resilient, with a proactive and solutions-focused approach to problem-solving. Finance Manager Location Based in South Oxfordshire. While hybrid working is available, regular on-site presence is strongly preferred and will be required for the majority of the time. There is free onsite parking available. Action If you would like to find out more about this excellent opportunity, then please apply online today! We aim to respond to all applications within 48 hours. Allen Associates is a leading recruitment company in Oxfordshire recruiting for Marketing, Finance, Human Resources and PA/Administrative roles. Allen Associates operates as an Employment Agency for permanent recruitment and an Employment Business for temporary recruitment. For more information on current vacancies please visit (url removed) and follow us on Twitter, LinkedIn and Facebook. For our latest vacancies follow our Jobs on Twitter
Jul 25, 2025
Full time
Finance Manager This is a fantastic opportunity to join a unique registered charity on a permanent basis, responsible for the comprehensive management of the organisation's finance system, preparation and reconciliation of multiple bank accounts, balance sheet reconciliations, and the processing of payroll for approximately 20 employees Finance Manager Responsibilities This position will involve, but will not be limited to: Take full responsibility for the effective operation, accuracy, and integrity of the finance system (Sage50). Manage and support the Finance Assistant, who is primarily responsible for the purchase ledger and day-to-day transactional processing. Perform and review bank reconciliations for multiple bank accounts on a monthly basis. Maintain up-to-date and accurate balance sheet reconciliations, ensuring all postings in Sage are correct and supported by appropriate documentation. Manage monthly payroll for approximately 20 staff members, ensuring accuracy, timeliness, and compliance with all statutory requirements. Prepare and submit quarterly Group VAT Returns using Making Tax Digital (MTD) compliant software. Accurately process and reconcile monthly donations, ensuring funds are allocated correctly within the finance system. Prepare and submit Gift Aid claims to HMRC, ensuring accurate record-keeping and compliance with regulations. Work closely with the Treasurer to provide timely and accurate financial reports, management account information Liaise with external accountants and auditors, preparing schedules and documentation as required for annual audits and statutory reporting. Finance Manager Benefits Working in a hands-on and collaborative environment, this is a full-time position, based on a 35-hour working week. The role offers flexibility in how these hours are arranged, with the option to work any hours and any 5 days out of 7. Other benefits include: Free Parking Pension Sick pay after qualifying period Flexible working Casual dress and relaxed culture The Company Our client is a registered charity, representing an iconic heritage site Finance Manager Essentials Proven experience in a finance role at a similar level, with responsibility for core financial operations. Strong working knowledge of VAT regulations and compliance, ideally including experience with Group VAT Returns. Proficient in using financial software, particularly Sage 50. Excellent attention to detail and a high level of accuracy in all aspects of financial work. Ability to manage multiple tasks and adapt quickly within a fast-paced, dynamic environment. Strong interpersonal and communication skills, with the ability to explain financial information clearly to non-finance colleagues. Resilient, with a proactive and solutions-focused approach to problem-solving. Finance Manager Location Based in South Oxfordshire. While hybrid working is available, regular on-site presence is strongly preferred and will be required for the majority of the time. There is free onsite parking available. Action If you would like to find out more about this excellent opportunity, then please apply online today! We aim to respond to all applications within 48 hours. Allen Associates is a leading recruitment company in Oxfordshire recruiting for Marketing, Finance, Human Resources and PA/Administrative roles. Allen Associates operates as an Employment Agency for permanent recruitment and an Employment Business for temporary recruitment. For more information on current vacancies please visit (url removed) and follow us on Twitter, LinkedIn and Facebook. For our latest vacancies follow our Jobs on Twitter
Finance Business Partner
Michael Page (UK)
We are looking for an adept Finance Business Partner to join our Accounting & Finance department in a permanent role. The ideal candidate will have the ability to provide strategic financial advice, influence business decisions and contribute to the overall success of our not-for-profit organisation. Client Details Our client is a prestigious University within the not-for-profit sector, located in the heart of London. They are a large organisation, well-established and renowned for their commitment to excellence and their positive contribution to society. Description Provide strategic financial advice to business leaders and stakeholders. Contribute to the development and implementation of financial strategies. Perform financial analysis and reporting to influence business decisions. Collaborate with various departments to ensure financial objectives align with organisational goals. Manage budgeting and forecasting activities. Maintain compliance with financial regulations and standards. Identify and implement opportunities for process improvements. Contribute to the overall success of the Accounting & Finance department. Profile A successful Finance Business Partner should have: Proficiency in strategic financial planning and analysis Qualified Accountant (ACA, ACCA, CIMA) Undertaking costs and providing financial analysis A strong understanding of financial regulations and standards. Education/Not for profit experience is preferable Job Offer A competitive salary, with a range of approximately £63,000 to £70,000, depending on experience. An exciting opportunity to contribute to a well-respected, not-for-profit organisation in London. A supportive and collaborative work environment. Opportunities for professional development and growth. Excellent work-life balance. This is a fantastic opportunity to make a significant impact in a large, well-established organisation in London. If you are a passionate Finance Business Partner looking for your next challenge, we encourage you to apply.
Jul 25, 2025
Full time
We are looking for an adept Finance Business Partner to join our Accounting & Finance department in a permanent role. The ideal candidate will have the ability to provide strategic financial advice, influence business decisions and contribute to the overall success of our not-for-profit organisation. Client Details Our client is a prestigious University within the not-for-profit sector, located in the heart of London. They are a large organisation, well-established and renowned for their commitment to excellence and their positive contribution to society. Description Provide strategic financial advice to business leaders and stakeholders. Contribute to the development and implementation of financial strategies. Perform financial analysis and reporting to influence business decisions. Collaborate with various departments to ensure financial objectives align with organisational goals. Manage budgeting and forecasting activities. Maintain compliance with financial regulations and standards. Identify and implement opportunities for process improvements. Contribute to the overall success of the Accounting & Finance department. Profile A successful Finance Business Partner should have: Proficiency in strategic financial planning and analysis Qualified Accountant (ACA, ACCA, CIMA) Undertaking costs and providing financial analysis A strong understanding of financial regulations and standards. Education/Not for profit experience is preferable Job Offer A competitive salary, with a range of approximately £63,000 to £70,000, depending on experience. An exciting opportunity to contribute to a well-respected, not-for-profit organisation in London. A supportive and collaborative work environment. Opportunities for professional development and growth. Excellent work-life balance. This is a fantastic opportunity to make a significant impact in a large, well-established organisation in London. If you are a passionate Finance Business Partner looking for your next challenge, we encourage you to apply.
EMEA Global Transportation Group Fund Controller - Vice President
The Regional Municipality of Durham
Join our team as a Vice President in the EMEA Global Transportation Group! This is a fantastic opportunity to grow your career at J.P Morgan Asset Management Inc. (JPMAM) which manages employee benefit plans for public and private institutional investors and provides investment management services for a broad spectrum of other institutional investors including foundations, endowments, sovereign governments, defined contribution plans and insurance companies, as well as other institutional and individual investors through mutual funds, investment partnerships and other pooled investment vehicles. As a EMEA Global Transportation Group Controller - Vice President in Global Transportation Group team, you will oversee the transportation investments globally across several fund structures. You will work closely with an experienced group of professionals whilst being involved in all aspects of financial reporting, analysis, accounting, internal controls, and oversight related to transportation (maritime, aviation, and other land-based) investments. JPMAM is an active participant in the global equity, fixed income, emerging, and currency markets as well as in real estate, transportation, and infrastructure markets. JPMAM Alternatives identifies, analyses, acquires, and manages real estate, global transportation, and infrastructure assets through a variety of ownership structures. As investment manager on behalf of its clients, JPMAM develops, enhances, and operates these assets. JPMAM also assesses capital markets and controls investment risk in determining the optimal financing, diversification, and disposition strategies for the managed assets. Job responsibilities Provides oversight and support in managing Global Transportation Funds; develops and maintains a financial infrastructure that operates with the efficiency and flexibility to respond to the demands of a growth-oriented business; ensures adherence to responsibilities and deadlines. Reviews and oversees the quarterly accounting and financial reporting process; continually improving the level and content of reporting and communication. Manages actively fund structures operationally, including cash management, vendor management and investor reporting. Reviews and understands investment structures, debt documents, partnership agreements, and sale and purchase agreements; Evaluates the accounting and reporting issues related to various deal structures and proposals. Collaborates with the investments team to facilitate effective deal execution. Interacts with independent eternal auditors, tax practitioners, legal advisors, and third-party service providers Participates actively in the determination and review of investment valuations. Oversees and reviews reporting from joint venture partners and portfolio companies' finance teams. Ensures that administrator/partner accounting systems and records are properly controlled and periodically audited. Supports a range of other Fund related activities such as capital calls, distribution, fee calculations. Supports a number of other significant Fund Projects Required qualifications, capabilities, and skills Chartered Accountant (ACA or ACCA) equivalent required. Big 4 or mid-sized training. Experience in open-end or closed-end funds, limited partnerships, and operating company investments. Ability to manage and organize resources, conduct effective presentations, facilitate meetings, and gain consensus around issues. Ability to act decisively, form opinions, solve problems and make recommendations. Ability to cultivate strong relationships internally (within the team) and externally (within the broader business). Ability to interact with Senior Portfolio and Asset Managers and draw on the experience of the wider team to solve issues and analyze results. Capable of handling multiple tasks efficiently and delivering effective outcomes. Understanding of US GAAP, IFRS and able to work with other GAAPs. Familiarity with currency implications/accounting treatment, Fair Market Value accounting. Current knowledge on industry accounting and tax trends/issues. Computer literacy and strong knowledge of Excel. Preferred Qualifications, Capabilities and Skills Experience in open- ended funds. Experience of working in fast-paced, transaction-intensive environment. Experience of working in Private Equity or Infrastructure Funds. Prior employment at Big 4 firm. About Us J.P. Morgan is a global leader in financial services, providing strategic advice and products to the world's most prominent corporations, governments, wealthy individuals and institutional investors. Our first-class business in a first-class way approach to serving clients drives everything we do. We strive to build trusted, long-term partnerships to help our clients achieve their business objectives. We recognize that our people are our strength and the diverse talents they bring to our global workforce are directly linked to our success. We are an equal opportunity employer and place a high value on diversity and inclusion at our company. We do not discriminate on the basis of any protected attribute, including race, religion, color, national origin, gender, sexual orientation, gender identity, gender expression, age, marital or veteran status, pregnancy or disability, or any other basis protected under applicable law. We also make reasonable accommodations for applicants' and employees' religious practices and beliefs, as well as mental health or physical disability needs. Visit our FAQs for more information about requesting an accommodation. About the Team J.P. Morgan Asset & Wealth Management delivers industry-leading investment management and private banking solutions. Asset Management provides individuals, advisors and institutions with strategies and expertise that span the full spectrum of asset classes through our global network of investment professionals. Wealth Management helps individuals, families and foundations take a more intentional approach to their wealth or finances to better define, focus and realize their goals.
Jul 25, 2025
Full time
Join our team as a Vice President in the EMEA Global Transportation Group! This is a fantastic opportunity to grow your career at J.P Morgan Asset Management Inc. (JPMAM) which manages employee benefit plans for public and private institutional investors and provides investment management services for a broad spectrum of other institutional investors including foundations, endowments, sovereign governments, defined contribution plans and insurance companies, as well as other institutional and individual investors through mutual funds, investment partnerships and other pooled investment vehicles. As a EMEA Global Transportation Group Controller - Vice President in Global Transportation Group team, you will oversee the transportation investments globally across several fund structures. You will work closely with an experienced group of professionals whilst being involved in all aspects of financial reporting, analysis, accounting, internal controls, and oversight related to transportation (maritime, aviation, and other land-based) investments. JPMAM is an active participant in the global equity, fixed income, emerging, and currency markets as well as in real estate, transportation, and infrastructure markets. JPMAM Alternatives identifies, analyses, acquires, and manages real estate, global transportation, and infrastructure assets through a variety of ownership structures. As investment manager on behalf of its clients, JPMAM develops, enhances, and operates these assets. JPMAM also assesses capital markets and controls investment risk in determining the optimal financing, diversification, and disposition strategies for the managed assets. Job responsibilities Provides oversight and support in managing Global Transportation Funds; develops and maintains a financial infrastructure that operates with the efficiency and flexibility to respond to the demands of a growth-oriented business; ensures adherence to responsibilities and deadlines. Reviews and oversees the quarterly accounting and financial reporting process; continually improving the level and content of reporting and communication. Manages actively fund structures operationally, including cash management, vendor management and investor reporting. Reviews and understands investment structures, debt documents, partnership agreements, and sale and purchase agreements; Evaluates the accounting and reporting issues related to various deal structures and proposals. Collaborates with the investments team to facilitate effective deal execution. Interacts with independent eternal auditors, tax practitioners, legal advisors, and third-party service providers Participates actively in the determination and review of investment valuations. Oversees and reviews reporting from joint venture partners and portfolio companies' finance teams. Ensures that administrator/partner accounting systems and records are properly controlled and periodically audited. Supports a range of other Fund related activities such as capital calls, distribution, fee calculations. Supports a number of other significant Fund Projects Required qualifications, capabilities, and skills Chartered Accountant (ACA or ACCA) equivalent required. Big 4 or mid-sized training. Experience in open-end or closed-end funds, limited partnerships, and operating company investments. Ability to manage and organize resources, conduct effective presentations, facilitate meetings, and gain consensus around issues. Ability to act decisively, form opinions, solve problems and make recommendations. Ability to cultivate strong relationships internally (within the team) and externally (within the broader business). Ability to interact with Senior Portfolio and Asset Managers and draw on the experience of the wider team to solve issues and analyze results. Capable of handling multiple tasks efficiently and delivering effective outcomes. Understanding of US GAAP, IFRS and able to work with other GAAPs. Familiarity with currency implications/accounting treatment, Fair Market Value accounting. Current knowledge on industry accounting and tax trends/issues. Computer literacy and strong knowledge of Excel. Preferred Qualifications, Capabilities and Skills Experience in open- ended funds. Experience of working in fast-paced, transaction-intensive environment. Experience of working in Private Equity or Infrastructure Funds. Prior employment at Big 4 firm. About Us J.P. Morgan is a global leader in financial services, providing strategic advice and products to the world's most prominent corporations, governments, wealthy individuals and institutional investors. Our first-class business in a first-class way approach to serving clients drives everything we do. We strive to build trusted, long-term partnerships to help our clients achieve their business objectives. We recognize that our people are our strength and the diverse talents they bring to our global workforce are directly linked to our success. We are an equal opportunity employer and place a high value on diversity and inclusion at our company. We do not discriminate on the basis of any protected attribute, including race, religion, color, national origin, gender, sexual orientation, gender identity, gender expression, age, marital or veteran status, pregnancy or disability, or any other basis protected under applicable law. We also make reasonable accommodations for applicants' and employees' religious practices and beliefs, as well as mental health or physical disability needs. Visit our FAQs for more information about requesting an accommodation. About the Team J.P. Morgan Asset & Wealth Management delivers industry-leading investment management and private banking solutions. Asset Management provides individuals, advisors and institutions with strategies and expertise that span the full spectrum of asset classes through our global network of investment professionals. Wealth Management helps individuals, families and foundations take a more intentional approach to their wealth or finances to better define, focus and realize their goals.
Alliances Manager - UK & EMEA
Trullion
Trullion is revolutionizing the accounting world with its AI-powered platform designed for finance teams, accountants, and auditors. By automating financial workflows, Trullion increases efficiency, prevents costly oversights, and drives collaboration. Our mission is to build accounting and audit technology that people love, making the industry more efficient, transparent, and human-oriented. Established in 2019, Trullion is headquartered in New York, with offices in Tel Aviv and London. We are backed by Aleph, Third Point Ventures, Greycroft, StepStone Group, and leading global CFOs and global accounting firms, offering a customer-centric experience from speedy implementation to a convenient managed service model. At Trullion, we think big, fostering an environment where ambitious ideas and growth are encouraged. We are committed to truth, ensuring honesty and transparency in all our actions. Hiring diverse talent is key to our values, as we believe that diversity cultivates a culture of innovation. Our supportive culture is dedicated to being on your side, offering excellent work-life balance, personal development opportunities, and comprehensive benefits to our employees and clients. As Alliances Manager for the UK & EMEA region, you'll be instrumental in driving Trullion's growth through strategic partnerships. You'll focus on building and nurturing relationships with the Big 4 accounting firms and other key advisory partners across the region, playing a crucial role in expanding our market presence in this key territory. Responsibilities Develop and manage strategic relationships with Big 4 firms and advisory partners across the UK and EMEA. Create and execute regional go-to-market strategies with alliance partners. Drive partner-led revenue growth through joint sales initiatives and co-selling opportunities. Represent Trullion at industry events and partner conferences across the region. Build comprehensive partner enablement programs tailored to the UK and European markets. Collaborate with our global marketing, sales, and product teams to ensure alignment with company objectives. Monitor regional compliance requirements and ensure partner programs align with local regulations. Requirements 5+ years of experience in SaaS partnerships or alliance management in the UK/EMEA region. Proven track record of managing relationships with Big 4 firms or major consultancies in the UK. Strong understanding of UK accounting standards and the European financial services landscape. Experience in developing and executing successful partner programs in enterprise software. Excellent relationship-building skills with C-level executives and senior stakeholders. Strong commercial acumen and ability to drive complex deal structures. Outstanding communication and presentation skills. Ability to work effectively across different cultures and time zones. About us We embrace our core values in everything that we do: Think BIG. We are ambitious, proactive, and we love challenging the status quo. Live by Truth. We uphold the highest standards of accuracy and accountability. On Your Side. We are on this journey together and want to collaborate and empower each other to succeed. Committed. Committed to execution. Committed to delivery. Committed to excellence. We embrace our core values in everything that we do
Jul 25, 2025
Full time
Trullion is revolutionizing the accounting world with its AI-powered platform designed for finance teams, accountants, and auditors. By automating financial workflows, Trullion increases efficiency, prevents costly oversights, and drives collaboration. Our mission is to build accounting and audit technology that people love, making the industry more efficient, transparent, and human-oriented. Established in 2019, Trullion is headquartered in New York, with offices in Tel Aviv and London. We are backed by Aleph, Third Point Ventures, Greycroft, StepStone Group, and leading global CFOs and global accounting firms, offering a customer-centric experience from speedy implementation to a convenient managed service model. At Trullion, we think big, fostering an environment where ambitious ideas and growth are encouraged. We are committed to truth, ensuring honesty and transparency in all our actions. Hiring diverse talent is key to our values, as we believe that diversity cultivates a culture of innovation. Our supportive culture is dedicated to being on your side, offering excellent work-life balance, personal development opportunities, and comprehensive benefits to our employees and clients. As Alliances Manager for the UK & EMEA region, you'll be instrumental in driving Trullion's growth through strategic partnerships. You'll focus on building and nurturing relationships with the Big 4 accounting firms and other key advisory partners across the region, playing a crucial role in expanding our market presence in this key territory. Responsibilities Develop and manage strategic relationships with Big 4 firms and advisory partners across the UK and EMEA. Create and execute regional go-to-market strategies with alliance partners. Drive partner-led revenue growth through joint sales initiatives and co-selling opportunities. Represent Trullion at industry events and partner conferences across the region. Build comprehensive partner enablement programs tailored to the UK and European markets. Collaborate with our global marketing, sales, and product teams to ensure alignment with company objectives. Monitor regional compliance requirements and ensure partner programs align with local regulations. Requirements 5+ years of experience in SaaS partnerships or alliance management in the UK/EMEA region. Proven track record of managing relationships with Big 4 firms or major consultancies in the UK. Strong understanding of UK accounting standards and the European financial services landscape. Experience in developing and executing successful partner programs in enterprise software. Excellent relationship-building skills with C-level executives and senior stakeholders. Strong commercial acumen and ability to drive complex deal structures. Outstanding communication and presentation skills. Ability to work effectively across different cultures and time zones. About us We embrace our core values in everything that we do: Think BIG. We are ambitious, proactive, and we love challenging the status quo. Live by Truth. We uphold the highest standards of accuracy and accountability. On Your Side. We are on this journey together and want to collaborate and empower each other to succeed. Committed. Committed to execution. Committed to delivery. Committed to excellence. We embrace our core values in everything that we do
Accountant - London
Halliburton
We are looking for the right people - people who want to innovate, achieve, grow and lead. We attract and retain the best talent by investing in our employees and empowering them to develop themselves and their careers. Experience the challenges, rewards and opportunity of working for one of the world's largest providers of products and services to the global energy industry. Job Duties JOB DESCRIPTION: Under general supervision, understands the company's business systems, business processes and controls, including policies and procedures, relative to the location and department assigned. Prepares accounting reports, and increasingly complex accounting analyses with related spreadsheets or applications input, and identifies and resolves issues. Understands organizational structure of the company. Prepares and posts journal vouchers for accounting transactions. Researches and resolves basic accounting issues and transactions including related internal controls. Requires completion of an undergraduate degree in accounting, business, or other related field and a minimum of nine (9) months of experience in accounting related roles. Knowledge of US GAAP or country- specific accounting principles required. Job role is developmental and intended to expose incumbents to moderately complex aspects of general accounting, internal controls, financial analysis and reporting, forecasting, and financial applications as well as intermediate levels of proficiency with industry and company acumen. Qualifications Halliburton is an Equal Opportunity Employer. Employment decisions are made without regard to race, color, religion, disability, genetic information, pregnancy, citizenship, marital status, sex/gender, sexual preference/ orientation, gender identity, age, veteran status, national origin, or any other status protected by law or regulation. Location Building 4, Chiswick Park, London, Lodi, W4 5YA, United Kingdom Job Details Requisition Number: 199805 Experience Level: Entry-Level Job Family: Support Services Product Service Line: Corporate Full Time / Part Time: Full Time Additional Locations for this position: Compensation Information Compensation is competitive and commensurate with experience.
Jul 25, 2025
Full time
We are looking for the right people - people who want to innovate, achieve, grow and lead. We attract and retain the best talent by investing in our employees and empowering them to develop themselves and their careers. Experience the challenges, rewards and opportunity of working for one of the world's largest providers of products and services to the global energy industry. Job Duties JOB DESCRIPTION: Under general supervision, understands the company's business systems, business processes and controls, including policies and procedures, relative to the location and department assigned. Prepares accounting reports, and increasingly complex accounting analyses with related spreadsheets or applications input, and identifies and resolves issues. Understands organizational structure of the company. Prepares and posts journal vouchers for accounting transactions. Researches and resolves basic accounting issues and transactions including related internal controls. Requires completion of an undergraduate degree in accounting, business, or other related field and a minimum of nine (9) months of experience in accounting related roles. Knowledge of US GAAP or country- specific accounting principles required. Job role is developmental and intended to expose incumbents to moderately complex aspects of general accounting, internal controls, financial analysis and reporting, forecasting, and financial applications as well as intermediate levels of proficiency with industry and company acumen. Qualifications Halliburton is an Equal Opportunity Employer. Employment decisions are made without regard to race, color, religion, disability, genetic information, pregnancy, citizenship, marital status, sex/gender, sexual preference/ orientation, gender identity, age, veteran status, national origin, or any other status protected by law or regulation. Location Building 4, Chiswick Park, London, Lodi, W4 5YA, United Kingdom Job Details Requisition Number: 199805 Experience Level: Entry-Level Job Family: Support Services Product Service Line: Corporate Full Time / Part Time: Full Time Additional Locations for this position: Compensation Information Compensation is competitive and commensurate with experience.
Michael Page
Finance Analyst
Michael Page Barnton, Cheshire
The role of Finance Analyst offers an exciting opportunity to support financial operations or this exciting business. Based in Northwich, this permanent position focuses on delivering accurate financial reporting and analysis to aid decision-making. Client Details An excellent opportunity to join a fast paced, and growing business in Northwich. Hybrid working available! Description As a Finance Analyst, responsibilities will include, but are not limited to: Assist in the preparation of monthly, quarterly and annual financial reports Collaborate with departments to gather information, produce insightful analysis, and report on key findings Analyse cost variances and provide insights to improve cost efficiency Support with budgeting and forecasting processes Contribute to the preparation of financial statements and reports Profile A successful Finance Analyst should have: Be studying towards ACCA/CIMA - Essential Have recent knowledge of working in a varied finance role - Essential Excellent verbal and written communication skills - Essential Excellent attention to detail and analytical skills. The ability to work collaboratively in a team environment. The desire to become a Qualified Accountant Job Offer A competitive salary range of 30,000- 40,000 Study support package, full training and excellent progression opportunities Onsite parking, flexible working hours, hybrid working
Jul 25, 2025
Full time
The role of Finance Analyst offers an exciting opportunity to support financial operations or this exciting business. Based in Northwich, this permanent position focuses on delivering accurate financial reporting and analysis to aid decision-making. Client Details An excellent opportunity to join a fast paced, and growing business in Northwich. Hybrid working available! Description As a Finance Analyst, responsibilities will include, but are not limited to: Assist in the preparation of monthly, quarterly and annual financial reports Collaborate with departments to gather information, produce insightful analysis, and report on key findings Analyse cost variances and provide insights to improve cost efficiency Support with budgeting and forecasting processes Contribute to the preparation of financial statements and reports Profile A successful Finance Analyst should have: Be studying towards ACCA/CIMA - Essential Have recent knowledge of working in a varied finance role - Essential Excellent verbal and written communication skills - Essential Excellent attention to detail and analytical skills. The ability to work collaboratively in a team environment. The desire to become a Qualified Accountant Job Offer A competitive salary range of 30,000- 40,000 Study support package, full training and excellent progression opportunities Onsite parking, flexible working hours, hybrid working
Product Regulatory & Industry Advisory Manager
Roman Health Pharmacy LLC
This role is essential to ensuring that the products Xero builds comply with the local government regulations and therefore, plays an integral role in directly contributing to the Xero Vision to be the most insightful and trusted small business platform. What you'll do As a team define and execute the operating model and risk frameworks by which Xero reviews its product against current and proposed legislation in region, working closely with stakeholders from Product, Technology, GTM, Legal and other groups Review future product features and functionality (typically with a 1-3 year outlook), providing input during the planning phase, to ensure they align with current and proposed legislation and regulatory requirements Work with product teams to help them understand relevant requirements and translate these into accurate technical specifications Be an active member of the internal community of regulatory and product subject matter experts, supporting those in other regions performing a similar function and our in-region specialists Work with government agencies and professional bodies (in particular tax authorities and those driving compliance requirements in product), to represent Xero and participate in technical working groups, ensuring we build strong communication channels to support implementation and collaboration opportunities around future changes in regulatory requirements Support M&A teams on awareness of regulatory requirements that may impact their proposals Assist the product team and extended business with day-to-day regulatory compliance queries Xero is a global business, so while your focus is in-region, it will be necessary for you to regularly work with teams who are globally dispersed and may result in meetings and collaboration with colleagues in other timezones (and outside the "standard business hours" of your region). The business has a clear understanding in region of The regulatory requirements that our customers, users and software products need to comply with, particularly in respect to accounting, tax calculations, payroll, cyber security, reporting and record keeping The upcoming regulatory change and subsequent areas of our platform likely to be impacted, and the opportunities this change offers Xero and small business The regulatory risk map, related plans and timelines, and impacts to our key strategic priorities Critical competencies Bachelor's degree or higher in Accounting, Commerce, Law, Taxation, Finance or similar Qualified accountant or bookkeeper and current member of professional body Highly advanced and specialist understanding of regional regulatory requirements that impact or drive data and returns flowing in/out of the tax authorities (broadly around income tax, sales tax, payroll and related cyber security requirements) Highly advanced and specialist knowledge of regional requirements around accounting and reporting obligations Exceptional communication skills (written and verbal) Ability to translate complex technical regulatory detail into natural english, providing in-depth evaluation and interpretation for use by key stakeholders such as product and technology leadership teams, business analysts and developers. Confident and accurate decision making skills when working on significant and specialist issues Thrive on managing your own time and approach to work, with a ruthless prioritisation of time and projects, a strong results & delivery attitude and equally happy with independent vs team-based work. The ability to build strong networks, including remotely Experience 7+ years experience in public practice with focus on taxation, compliance or business services 5+ years working collaboratively in technology, software or with Revenue Agencies Experienced in use of a broad range of accounting, tax and payroll software and the preparation of financial statements and tax returns. Experienced in writing technical advice addressing complex specialist issues, with in-depth analysis, evaluation and interpretation, often requiring the ability to gain acceptance or change of thinking Experienced collaborating and working with a broad range of stakeholders including senior leadership, external customers, technical peers Experience with risk assessments and product roadmaps is advantageous Xero is seen as a thought leader and is an active participant in working groups with the tax authorities and industry groups in the region, working to shape the most trusted and efficient regulatory landscape possible for Xero's small businesses and the communities they support. Inside Xero we have a thriving community of regulatory subject matter experts who can support and challenge each other, to build excellence in what we do, how we do it and the speed we can respond to market changes.
Jul 25, 2025
Full time
This role is essential to ensuring that the products Xero builds comply with the local government regulations and therefore, plays an integral role in directly contributing to the Xero Vision to be the most insightful and trusted small business platform. What you'll do As a team define and execute the operating model and risk frameworks by which Xero reviews its product against current and proposed legislation in region, working closely with stakeholders from Product, Technology, GTM, Legal and other groups Review future product features and functionality (typically with a 1-3 year outlook), providing input during the planning phase, to ensure they align with current and proposed legislation and regulatory requirements Work with product teams to help them understand relevant requirements and translate these into accurate technical specifications Be an active member of the internal community of regulatory and product subject matter experts, supporting those in other regions performing a similar function and our in-region specialists Work with government agencies and professional bodies (in particular tax authorities and those driving compliance requirements in product), to represent Xero and participate in technical working groups, ensuring we build strong communication channels to support implementation and collaboration opportunities around future changes in regulatory requirements Support M&A teams on awareness of regulatory requirements that may impact their proposals Assist the product team and extended business with day-to-day regulatory compliance queries Xero is a global business, so while your focus is in-region, it will be necessary for you to regularly work with teams who are globally dispersed and may result in meetings and collaboration with colleagues in other timezones (and outside the "standard business hours" of your region). The business has a clear understanding in region of The regulatory requirements that our customers, users and software products need to comply with, particularly in respect to accounting, tax calculations, payroll, cyber security, reporting and record keeping The upcoming regulatory change and subsequent areas of our platform likely to be impacted, and the opportunities this change offers Xero and small business The regulatory risk map, related plans and timelines, and impacts to our key strategic priorities Critical competencies Bachelor's degree or higher in Accounting, Commerce, Law, Taxation, Finance or similar Qualified accountant or bookkeeper and current member of professional body Highly advanced and specialist understanding of regional regulatory requirements that impact or drive data and returns flowing in/out of the tax authorities (broadly around income tax, sales tax, payroll and related cyber security requirements) Highly advanced and specialist knowledge of regional requirements around accounting and reporting obligations Exceptional communication skills (written and verbal) Ability to translate complex technical regulatory detail into natural english, providing in-depth evaluation and interpretation for use by key stakeholders such as product and technology leadership teams, business analysts and developers. Confident and accurate decision making skills when working on significant and specialist issues Thrive on managing your own time and approach to work, with a ruthless prioritisation of time and projects, a strong results & delivery attitude and equally happy with independent vs team-based work. The ability to build strong networks, including remotely Experience 7+ years experience in public practice with focus on taxation, compliance or business services 5+ years working collaboratively in technology, software or with Revenue Agencies Experienced in use of a broad range of accounting, tax and payroll software and the preparation of financial statements and tax returns. Experienced in writing technical advice addressing complex specialist issues, with in-depth analysis, evaluation and interpretation, often requiring the ability to gain acceptance or change of thinking Experienced collaborating and working with a broad range of stakeholders including senior leadership, external customers, technical peers Experience with risk assessments and product roadmaps is advantageous Xero is seen as a thought leader and is an active participant in working groups with the tax authorities and industry groups in the region, working to shape the most trusted and efficient regulatory landscape possible for Xero's small businesses and the communities they support. Inside Xero we have a thriving community of regulatory subject matter experts who can support and challenge each other, to build excellence in what we do, how we do it and the speed we can respond to market changes.
Amazon
Tax Analyst I, India Direct Tax Reporting and Compliance
Amazon
Tax Analyst I, India Direct Tax Reporting and Compliance Amazon is seeking a Chartered Accountant for the direct tax reporting and compliance team in Bangalore, India. The role supports the India Tax Reporting and Compliance team and involves managing India/APAC countries corporate tax reporting, including direct tax returns, tax accounting, and assessments, as well as US GAAP worldwide income tax reporting. Responsibilities include: Managing and coordinating annual tax compliances in India such as tax audits, transfer pricing filings, and tax returns. Streamlining audit management and responding to tax notices efficiently. Driving process improvements and automation projects to enhance efficiency and scalability. Preparing and reviewing monthly/quarterly tax computations supporting worldwide US GAAP provisions. Supporting local country financial statement closures and transfer pricing compliance. Analyzing data and making recommendations. Coordinating with internal and external stakeholders to ensure timely tax reporting. Basic Qualifications: CA or Master's degree from a recognized institute or equivalent. 2+ years of Indian income tax experience, preferably in public accounting or multinational corporate tax departments. Strong computer skills, especially managing large datasets in MS Excel. Preferred Qualifications: Ability to prioritize and work independently. Strong organizational and communication skills. Experience in a fast-paced multinational tax environment or Big4 firms for 4+ years is highly preferred. Knowledge of accounting for income taxes under IN GAAP/IND AS. Amazon is an Equal Opportunity Employer. For workplace accommodations, please visit this link .
Jul 25, 2025
Full time
Tax Analyst I, India Direct Tax Reporting and Compliance Amazon is seeking a Chartered Accountant for the direct tax reporting and compliance team in Bangalore, India. The role supports the India Tax Reporting and Compliance team and involves managing India/APAC countries corporate tax reporting, including direct tax returns, tax accounting, and assessments, as well as US GAAP worldwide income tax reporting. Responsibilities include: Managing and coordinating annual tax compliances in India such as tax audits, transfer pricing filings, and tax returns. Streamlining audit management and responding to tax notices efficiently. Driving process improvements and automation projects to enhance efficiency and scalability. Preparing and reviewing monthly/quarterly tax computations supporting worldwide US GAAP provisions. Supporting local country financial statement closures and transfer pricing compliance. Analyzing data and making recommendations. Coordinating with internal and external stakeholders to ensure timely tax reporting. Basic Qualifications: CA or Master's degree from a recognized institute or equivalent. 2+ years of Indian income tax experience, preferably in public accounting or multinational corporate tax departments. Strong computer skills, especially managing large datasets in MS Excel. Preferred Qualifications: Ability to prioritize and work independently. Strong organizational and communication skills. Experience in a fast-paced multinational tax environment or Big4 firms for 4+ years is highly preferred. Knowledge of accounting for income taxes under IN GAAP/IND AS. Amazon is an Equal Opportunity Employer. For workplace accommodations, please visit this link .
Atkinson Moss
Part Time Management Accountant
Atkinson Moss Norwich, Norfolk
Atkinson Moss are proud to be representing a fantastic company in Norwich in their search in looking for a unique new member to their highly productive team. They are in the search for a 4 day week Business Analyst/ Management Accountant. This role is part time and looking for a 3 or 4 day working week. Key duties include: Preparation of monthly management accountants Preparation of statutory accounts Monitoring the financial performance of grants Prepare business plans and annual budgets and forecasts Key Skills: Previous experience in management accounts Experience with preparing budgets and business plans Qualified accountants would be desirable but not essential Our clients offers fantastic benefits and a basic salary between 36,000 - 39,750 FTE. If this role would be of interest then please contact Moss
Jul 25, 2025
Full time
Atkinson Moss are proud to be representing a fantastic company in Norwich in their search in looking for a unique new member to their highly productive team. They are in the search for a 4 day week Business Analyst/ Management Accountant. This role is part time and looking for a 3 or 4 day working week. Key duties include: Preparation of monthly management accountants Preparation of statutory accounts Monitoring the financial performance of grants Prepare business plans and annual budgets and forecasts Key Skills: Previous experience in management accounts Experience with preparing budgets and business plans Qualified accountants would be desirable but not essential Our clients offers fantastic benefits and a basic salary between 36,000 - 39,750 FTE. If this role would be of interest then please contact Moss
Kenton Black
Finance Manager
Kenton Black
Kenton Black Finance are currently partnered with a growing, fast paced business who operate nationally within a niche area of construction/engineering. Group Head office is based in central Lancashire, and this business unit operate autonomously. A newly created position, this role will report directly to the CEO and take the lead on all financial activity for the business. A stand-alone role, this is suited to a technically strong Management Accountant who is also keen to progress and develop further. This is a remote role however, you must be located in the North West to be considered as travel to the offices in chorley is required from time to time. An exciting and progressive opportunity this role requires knowledge and experince of CIS. Commercially focused, progression is available. Both the group and this business unit are in a period of fast growth. Known locally as an employer of choice this is a unique opportunity. Your new role as the Finance Manager / Management Accountant: This role is pivotal to maintaining accurate financial records, managing accounts payable, and ensuring compliance with financial regulations. You will play an integral role in ensuring the smooth running of financial operations, providing management with key insights, and supporting business decisions. Reporting directly to the CEO The ideal candidate will have proficiency in accounting software and a strong understanding of CIS and month end accounting, as well as ledger management. Role Duties: - Production of monthly Management Accounts, including all accruals, prepayments and fix assets registers. - CIS management including deductions, submissions and verifications, including subcontractor pre-qualification checks - Budget management and monthly/quarterly forecasting. - Monitor adherence to accounting standards and regulations, ensuring consistent financial reporting practices. - Cashflow management. - Process accounts payable and receivable. - Reconcile bank statements and resolve discrepancies in a timely manner. - Providing financial analysis and insights to support decision-making and business growth. - Supporting the Head of Finance with process improvements, and system implementations. - Assist with the preparation of year-end financial statements. - Intercompany recharges and reconciliations Experience & Skills required to apply: - Proven experience as a Management Accountant or in a similar role within finance or accounting. - CIS experince with a good understanding of accounting process to manage effectively - Strong knowledge of month-end process and ledger management principles. - Proficiency in accounting software; experience with Xero is desirable but not essential - Excellent attention to detail and accuracy in financial reporting. - Strong organisational skills with the ability to manage multiple tasks effectively. - Good communication skills, both written and verbal, to liaise with team members and external stakeholders. - A relevant qualification in finance or accounting is preferred but not essential. - Experience with inter company charges This role is being handled by Darren Cadman - Kenton Black Finance Kenton Black Finance operate across the UK as a market leading recruitment partner, specialising in the attraction of finance talent across both permanent and interim requirements. With a team of dedicated experts, each with longevity operating in the finance arena, we maintain a proven track record and have established partnerships with businesses both large, small and those in their infancy. Market leaders, we provide recruitment solutions from entry level finance to directorship professionals. Operating from local offices in Manchester, Leeds, Liverpool, Birmingham, London, Aberdeen and Glasgow, Kenton Black Finance remain a dynamic and effective recruitment partner who represent and attract only the finest finance talent in the local area and across the UK.
Jul 25, 2025
Full time
Kenton Black Finance are currently partnered with a growing, fast paced business who operate nationally within a niche area of construction/engineering. Group Head office is based in central Lancashire, and this business unit operate autonomously. A newly created position, this role will report directly to the CEO and take the lead on all financial activity for the business. A stand-alone role, this is suited to a technically strong Management Accountant who is also keen to progress and develop further. This is a remote role however, you must be located in the North West to be considered as travel to the offices in chorley is required from time to time. An exciting and progressive opportunity this role requires knowledge and experince of CIS. Commercially focused, progression is available. Both the group and this business unit are in a period of fast growth. Known locally as an employer of choice this is a unique opportunity. Your new role as the Finance Manager / Management Accountant: This role is pivotal to maintaining accurate financial records, managing accounts payable, and ensuring compliance with financial regulations. You will play an integral role in ensuring the smooth running of financial operations, providing management with key insights, and supporting business decisions. Reporting directly to the CEO The ideal candidate will have proficiency in accounting software and a strong understanding of CIS and month end accounting, as well as ledger management. Role Duties: - Production of monthly Management Accounts, including all accruals, prepayments and fix assets registers. - CIS management including deductions, submissions and verifications, including subcontractor pre-qualification checks - Budget management and monthly/quarterly forecasting. - Monitor adherence to accounting standards and regulations, ensuring consistent financial reporting practices. - Cashflow management. - Process accounts payable and receivable. - Reconcile bank statements and resolve discrepancies in a timely manner. - Providing financial analysis and insights to support decision-making and business growth. - Supporting the Head of Finance with process improvements, and system implementations. - Assist with the preparation of year-end financial statements. - Intercompany recharges and reconciliations Experience & Skills required to apply: - Proven experience as a Management Accountant or in a similar role within finance or accounting. - CIS experince with a good understanding of accounting process to manage effectively - Strong knowledge of month-end process and ledger management principles. - Proficiency in accounting software; experience with Xero is desirable but not essential - Excellent attention to detail and accuracy in financial reporting. - Strong organisational skills with the ability to manage multiple tasks effectively. - Good communication skills, both written and verbal, to liaise with team members and external stakeholders. - A relevant qualification in finance or accounting is preferred but not essential. - Experience with inter company charges This role is being handled by Darren Cadman - Kenton Black Finance Kenton Black Finance operate across the UK as a market leading recruitment partner, specialising in the attraction of finance talent across both permanent and interim requirements. With a team of dedicated experts, each with longevity operating in the finance arena, we maintain a proven track record and have established partnerships with businesses both large, small and those in their infancy. Market leaders, we provide recruitment solutions from entry level finance to directorship professionals. Operating from local offices in Manchester, Leeds, Liverpool, Birmingham, London, Aberdeen and Glasgow, Kenton Black Finance remain a dynamic and effective recruitment partner who represent and attract only the finest finance talent in the local area and across the UK.
Cheltenham Borough Council
Accounting Technician
Cheltenham Borough Council Cheltenham, Gloucestershire
Join Cheltenham Borough Council as an Accounting Technician and help deliver vital frontline services that make a real difference to our community. Location: Municipal Offices, Promenade, Cheltenham GL50 9SA Salary: £28,672 - £31,346 per annum Job Type: Full Time, Permanent Closing date: Thursday 7th August 2025 Come and work for an award-winning organisation! We are an ambitious and forward-thinking council. We are committed to making Cheltenham a better place to live and work, enabling communities and businesses to thrive whilst protecting what is good about our town. We aim to be an employer of choice where everyone is treated fairly and feels valued and respected. We aim to provide a stimulating and rewarding working environment that encourages our people to work together, provides opportunities for them to reach their full potential and achieve a healthy work/life balance. Working at Cheltenham Borough Council means working as part of a committed, professional, and friendly team. Accounting Technician - The Role: Accountancy is no longer just number crunching and bean counting. Here at Cheltenham, we are committed to making our town a great place to live and work and our finance team are front and centre of bringing our ambitions to life. We are looking for a qualified Accounting Technician to support the team to deliver the annual financial reporting cycle. We want to create the accountants of the future who will play a key part in shaping the future of Cheltenham and its recovery from Covid-19. Accounting Technician Key Responsibilities: - Providing day to day support to budget holders for key areas of the Council - Supporting key areas of the preparation of the Statement of Accounts, including liaison with audit - Maintenance of the general ledger system, including reporting functions and processing journals - Monitoring financial performance against the budget for designated budget areas - Supporting key financial analysis to support budget holder decisions - Supporting the delivery of a balanced budget for 2023/24 - Supporting budget holder training Accounting Technician - You: - Fully AAT Level 4 qualified accounting technician or a 2.1 or above degree in a related subject - Looking to take the next step in your career to become a fully Chartered Accountant in a public sector environment - Analytical skills, with the ability to effectively interpret data to senior non-finance business leaders - Experience of working with general ledger systems - Experience of year end close down process and financial accounts preparation Accounting Technician- Benefits: - An excellent pension scheme. You will be eligible to join the Local Government Pension Scheme (LGPS) - A generous holiday entitlement of 26 days (pro rata) rising to 31 days (pro rata) after five years (excluding Bank Holidays) - A flexible and agile working environment. We aim to provide opportunities to work from home or elsewhere and offer flexibility in working hours - A comprehensive programme of learning and development - Two days (pro rata) paid time off for volunteering - Enhanced maternity and paternity schemes - Access to free counselling services - Upon successful completion of your probation period, you will then have access to our Healthcare Cashback Plan - A cycle to work scheme - Low-cost town centre parking - A commitment to employee wellbeing Closing date: Thursday 7th August 2025 To submit your application for this exciting Accounting Technician opportunity, please click on Apply now!
Jul 25, 2025
Full time
Join Cheltenham Borough Council as an Accounting Technician and help deliver vital frontline services that make a real difference to our community. Location: Municipal Offices, Promenade, Cheltenham GL50 9SA Salary: £28,672 - £31,346 per annum Job Type: Full Time, Permanent Closing date: Thursday 7th August 2025 Come and work for an award-winning organisation! We are an ambitious and forward-thinking council. We are committed to making Cheltenham a better place to live and work, enabling communities and businesses to thrive whilst protecting what is good about our town. We aim to be an employer of choice where everyone is treated fairly and feels valued and respected. We aim to provide a stimulating and rewarding working environment that encourages our people to work together, provides opportunities for them to reach their full potential and achieve a healthy work/life balance. Working at Cheltenham Borough Council means working as part of a committed, professional, and friendly team. Accounting Technician - The Role: Accountancy is no longer just number crunching and bean counting. Here at Cheltenham, we are committed to making our town a great place to live and work and our finance team are front and centre of bringing our ambitions to life. We are looking for a qualified Accounting Technician to support the team to deliver the annual financial reporting cycle. We want to create the accountants of the future who will play a key part in shaping the future of Cheltenham and its recovery from Covid-19. Accounting Technician Key Responsibilities: - Providing day to day support to budget holders for key areas of the Council - Supporting key areas of the preparation of the Statement of Accounts, including liaison with audit - Maintenance of the general ledger system, including reporting functions and processing journals - Monitoring financial performance against the budget for designated budget areas - Supporting key financial analysis to support budget holder decisions - Supporting the delivery of a balanced budget for 2023/24 - Supporting budget holder training Accounting Technician - You: - Fully AAT Level 4 qualified accounting technician or a 2.1 or above degree in a related subject - Looking to take the next step in your career to become a fully Chartered Accountant in a public sector environment - Analytical skills, with the ability to effectively interpret data to senior non-finance business leaders - Experience of working with general ledger systems - Experience of year end close down process and financial accounts preparation Accounting Technician- Benefits: - An excellent pension scheme. You will be eligible to join the Local Government Pension Scheme (LGPS) - A generous holiday entitlement of 26 days (pro rata) rising to 31 days (pro rata) after five years (excluding Bank Holidays) - A flexible and agile working environment. We aim to provide opportunities to work from home or elsewhere and offer flexibility in working hours - A comprehensive programme of learning and development - Two days (pro rata) paid time off for volunteering - Enhanced maternity and paternity schemes - Access to free counselling services - Upon successful completion of your probation period, you will then have access to our Healthcare Cashback Plan - A cycle to work scheme - Low-cost town centre parking - A commitment to employee wellbeing Closing date: Thursday 7th August 2025 To submit your application for this exciting Accounting Technician opportunity, please click on Apply now!
Hays Accounts and Finance
Senior FP&A Analyst
Hays Accounts and Finance Bristol, Gloucestershire
Your new company Based here in Bristol and from one of their main global offices, we are working with a long-standing, professional services' client to recruit a Senior FP&A Analyst that reports into the FP&A Director. Your new role This is a global role, producing and analysing business headlines from key financial results that will support the senior leadership team, providing clear insights that will ultimately drive the long-term performance of the business. This role will take global results, analyse data and provide commentary to be used across multiple territories. Key elements of the role will include: Deliver month-end, forecast and budget reports Customer analysis including profitability analysis Competitor analysis, allowing for insights into product offerings and opportunities for the business to develop new offerings and services Consolidate and review global commentary from different stakeholders. Working with senior leaders to understand KPIs, identifying opportunities for continual process improvements What you'll need to succeed We are looking for a qualified accountant, ideally with experience in an analytical finance role gained from a large, complex business. In addition, if you have experience using a cloud-based system such as SAP, Power BI or Oracle Fusion, that would be a benefit. We are looking for someone that is comfortable analysing large, complex sets of data and drawing commentaries that can be used by a variety of different stakeholders. What you'll get in return This is a great opportunity for someone to join a global business and help shape the way they work, interacting with senior stakeholders on a daily basis. This is a hybrid role, based from modern offices and good additional benefits. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. Hays Specialist Recruitment Limited acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. By applying for this job you accept the T&C's, Privacy Policy and Disclaimers which can be found at (url removed)
Jul 25, 2025
Full time
Your new company Based here in Bristol and from one of their main global offices, we are working with a long-standing, professional services' client to recruit a Senior FP&A Analyst that reports into the FP&A Director. Your new role This is a global role, producing and analysing business headlines from key financial results that will support the senior leadership team, providing clear insights that will ultimately drive the long-term performance of the business. This role will take global results, analyse data and provide commentary to be used across multiple territories. Key elements of the role will include: Deliver month-end, forecast and budget reports Customer analysis including profitability analysis Competitor analysis, allowing for insights into product offerings and opportunities for the business to develop new offerings and services Consolidate and review global commentary from different stakeholders. Working with senior leaders to understand KPIs, identifying opportunities for continual process improvements What you'll need to succeed We are looking for a qualified accountant, ideally with experience in an analytical finance role gained from a large, complex business. In addition, if you have experience using a cloud-based system such as SAP, Power BI or Oracle Fusion, that would be a benefit. We are looking for someone that is comfortable analysing large, complex sets of data and drawing commentaries that can be used by a variety of different stakeholders. What you'll get in return This is a great opportunity for someone to join a global business and help shape the way they work, interacting with senior stakeholders on a daily basis. This is a hybrid role, based from modern offices and good additional benefits. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. Hays Specialist Recruitment Limited acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. By applying for this job you accept the T&C's, Privacy Policy and Disclaimers which can be found at (url removed)
Head of Finance
IMG LIVE
IMG is a leading global sports marketing agency, specializing in media rights management and sales, multi-channel content production and distribution, brand partnerships, strategic consulting, digital services, and events management. It powers growth of revenues, fanbases and IP for more than 200 federations, associations, events, and teams, including the National Football League, English Premier League, International Olympic Committee, National Hockey League, Major League Soccer, ATP and WTA Tours, the AELTC (Wimbledon), Euroleague Basketball, CONMEBOL, DP World Tour, and The R&A, as well as UFC, WWE, and PBR. IMG is a subsidiary of TKO Group Holdings, Inc. (NYSE: TKO), a premium sports and entertainment company. What You'll Do: Lead annual budgeting and quarterly reforecasting in collaboration with the VP Finance, ensuring accuracy and compliance with accounting standards and corporate expectations. Oversee monthly P&L close and deliver management discussion & analysis (MD&A) with insightful commentary on performance drivers and risks. Monitor and report on financial performance, highlighting variances and recommending corrective actions. Track and consolidate the divisional new business pipeline, delivering clear, actionable updates to the Senior Leadership Team (SLT) on a bi-weekly basis. Act as a strategic business partner to the Productions management team, offering financial insights and commercial guidance to support decision-making. Ensure SOX compliance and adherence to internal controls and financial regulations across all production entities. Lead and develop a high-performing finance team of four direct reports, fostering a culture of excellence, accountability, and continuous improvement. Improve and streamline financial reporting tools, dashboards, and management information systems to enhance operational efficiency. Review and assess new business proposals to ensure financial viability, appropriate risk management, and alignment with IMG's commercial strategy. Review supplier and customer contracts, advising on financial implications and ensuring terms are commercially sound. Unusual Challenges or Circumstances Flexibility to work additional hours as needed to meet critical deadlines. Key Results Areas Delivery of accurate and insightful financial planning and analysis. Timely reporting and actionable financial commentary for leadership. Strong team leadership and people development. Effective commercial assessment of new business opportunities. Continuous improvement in reporting and operational efficiency You Have These: Qualified accountant (CIMA/ACCA/ACA) with a minimum of 5 years post-qualification experience. Confident and flexible team player Advanced proficiency in Microsoft Excel. Strong analytical and numerical skills with the ability to interpret complex financial data. High attention to detail and financial accuracy. Proven ability to manage multiple tasks and deadlines in a fast-paced environment. Clear, concise communication skills, both written and verbal. Ability to influence stakeholders at all levels. Strong leadership and team development skills We'd Also Love If You Have These: Experience in the media/production industry. Experience working in a multinational organisation. SAP system knowledge. Awareness of HMRC tax rules relevant to television production Experience using SAP. Familiarity with BW / Power BI. Working Conditions: Perm, Stockley Park Mon-Fri, 9am-5pm About Us IMG is a leading global sports marketing agency, specializing in media rights management and sales, multi-channel content production and distribution, brand partnerships, strategic consulting, digital services, and events management. It powers growth of revenues, fanbases and IP for more than 200 federations, associations, events, and teams, including the National Football League, English Premier League, International Olympic Committee, National Hockey League, Major League Soccer, ATP and WTA Tours, the AELTC (Wimbledon), Euroleague Basketball, CONMEBOL, DP World Tour, and The R&A, as well as UFC, WWE, and PBR. IMG is a subsidiary of TKO Group Holdings, Inc. (NYSE: TKO), a premium sports and entertainment company.
Jul 25, 2025
Full time
IMG is a leading global sports marketing agency, specializing in media rights management and sales, multi-channel content production and distribution, brand partnerships, strategic consulting, digital services, and events management. It powers growth of revenues, fanbases and IP for more than 200 federations, associations, events, and teams, including the National Football League, English Premier League, International Olympic Committee, National Hockey League, Major League Soccer, ATP and WTA Tours, the AELTC (Wimbledon), Euroleague Basketball, CONMEBOL, DP World Tour, and The R&A, as well as UFC, WWE, and PBR. IMG is a subsidiary of TKO Group Holdings, Inc. (NYSE: TKO), a premium sports and entertainment company. What You'll Do: Lead annual budgeting and quarterly reforecasting in collaboration with the VP Finance, ensuring accuracy and compliance with accounting standards and corporate expectations. Oversee monthly P&L close and deliver management discussion & analysis (MD&A) with insightful commentary on performance drivers and risks. Monitor and report on financial performance, highlighting variances and recommending corrective actions. Track and consolidate the divisional new business pipeline, delivering clear, actionable updates to the Senior Leadership Team (SLT) on a bi-weekly basis. Act as a strategic business partner to the Productions management team, offering financial insights and commercial guidance to support decision-making. Ensure SOX compliance and adherence to internal controls and financial regulations across all production entities. Lead and develop a high-performing finance team of four direct reports, fostering a culture of excellence, accountability, and continuous improvement. Improve and streamline financial reporting tools, dashboards, and management information systems to enhance operational efficiency. Review and assess new business proposals to ensure financial viability, appropriate risk management, and alignment with IMG's commercial strategy. Review supplier and customer contracts, advising on financial implications and ensuring terms are commercially sound. Unusual Challenges or Circumstances Flexibility to work additional hours as needed to meet critical deadlines. Key Results Areas Delivery of accurate and insightful financial planning and analysis. Timely reporting and actionable financial commentary for leadership. Strong team leadership and people development. Effective commercial assessment of new business opportunities. Continuous improvement in reporting and operational efficiency You Have These: Qualified accountant (CIMA/ACCA/ACA) with a minimum of 5 years post-qualification experience. Confident and flexible team player Advanced proficiency in Microsoft Excel. Strong analytical and numerical skills with the ability to interpret complex financial data. High attention to detail and financial accuracy. Proven ability to manage multiple tasks and deadlines in a fast-paced environment. Clear, concise communication skills, both written and verbal. Ability to influence stakeholders at all levels. Strong leadership and team development skills We'd Also Love If You Have These: Experience in the media/production industry. Experience working in a multinational organisation. SAP system knowledge. Awareness of HMRC tax rules relevant to television production Experience using SAP. Familiarity with BW / Power BI. Working Conditions: Perm, Stockley Park Mon-Fri, 9am-5pm About Us IMG is a leading global sports marketing agency, specializing in media rights management and sales, multi-channel content production and distribution, brand partnerships, strategic consulting, digital services, and events management. It powers growth of revenues, fanbases and IP for more than 200 federations, associations, events, and teams, including the National Football League, English Premier League, International Olympic Committee, National Hockey League, Major League Soccer, ATP and WTA Tours, the AELTC (Wimbledon), Euroleague Basketball, CONMEBOL, DP World Tour, and The R&A, as well as UFC, WWE, and PBR. IMG is a subsidiary of TKO Group Holdings, Inc. (NYSE: TKO), a premium sports and entertainment company.

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