Take ownership of balance sheet reconciliations, ensuring accuracy, compliance, and timely resolution of variances
Support the submission of claims, working closely with finance colleagues to ensure completeness and audit readiness
Act as a trusted finance contact for Project Managers, translating numbers into meaningful insights and helping them understand the financial impact of their decisions
Spot opportunities to streamline reconciliations and reporting, contributing to a more efficient month-end cycle
Maintain strong controls and documentation, supporting the wider management accounting function
Experience in a Management Accounting focussed role * Immediately Available to start a new role * Strong technical skills in reconciliations and financial reporting * Excellent communication and stakeholder management skills