Senior Management Accountant
Pure Resourcing Solutions Limited
This is a key role, supporting the Finance Manager to deliver timely, accurate management information and robust month‑end processes.
- Manage treasury functions including payment processing, cash management and month‑end treasury reconciliations
- Maintain balance sheet reconciliations, lead intercompany reconciliations and manage intercompany recharges
- Update and control the Fixed Asset Register and oversee monthly stock movements and valuations
- Produce monthly management accounts (P&L, balance sheet, cash flow), variance analysis and commentary
- Support statutory audit preparation, tax schedules and year‑end financial statements
- Deliver ad‑hoc financial analysis, contribute to budgeting and forecasting cycles
- Identify and implement process improvements; support development of financial tools and reporting systems
This role is based in Mid Essex.
Application opens at the source listing. Free for jobseekers.