Accounting Assistant at Integrated Utility Services
SOTT2, , United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

19 Oct, 25

Salary

38329.0

Posted On

20 Jul, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Outlook, English

Industry

Financial Services

Description

OVERVIEW

We are seeking a detail-oriented and proactive Accounting Assistant to join our finance team. The ideal candidate will provide accurate financial information and reports and undertake a full range of finance related duties.

ESSENTIAL QUALIFICATIONS & EXPERIENCE:

  • Minimum 5 GCSE Grade C or above including English and Math’s
  • AAT/CIMA membership
  • MS Office Suite (excel, word, Outlook and ideally access)
  • Understanding of Management Accounting processes

DESIRABLE QUALIFICATIONS & EXPERIENCE:

  • ACCA part qualified
  • Finance background
    Job Types: Full-time, Permanent
    Pay: £33,183.00-£38,329.00 per year

Benefits:

  • Company pension
  • Free parking
  • On-site parking
  • Referral programme
  • Sick pay

Schedule:

  • Monday to Friday

Work authorisation:

  • United Kingdom (required)

Work Location: In perso

Responsibilities
  • Analysis & reporting against the NPg contracts providing commercial support to operations in terms of project analysis / dispute
  • Analysis and enhancement of charging for restoration work
  • Overtime analysis/reporting – project scope to analyse working hours/overtime claims
  • Productivity reporting and timesheet analysis
  • Support Scotland operations, particularly reclaiming VAT on POC charges
  • WIP / added value analysis
  • Assisting operations with key customer analysis and reports
  • Assist with corporate plan production
  • Cash management reporting to Treasury
  • IUS Ireland financial reporting including regulatory/legislative obligations
  • Production of regulatory reporting pack alongside monthly reconciliations and Management reporting to both senior and contract managers.
  • Cost variance analysis (operating/direct), assist with external audit as directed and complete monthly WIP reconciliation Business and financial reports
  • Prepare month end accruals and reconciliations
  • Other ad hoc duties as directed by the Finance Manager
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