Finance Analyst - Capital Accounting at Heathrow
Glasgow, Scotland, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

22 May, 25

Salary

0.0

Posted On

22 Feb, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Financial Services

Description

Join Heathrow’s Business Services team and you’ll help us deliver our bold ambitions, whilst supporting colleagues to achieve theirs.

Our team is involved in every element of People and Finance activity. That includes payroll, casework, referencing and onboarding, through to billing, paying suppliers, and month end activities. It’s up to us to lead, support and deliver an excellent service across our core processes including;

  • Managing Revenue
  • Procurement
  • Project and Asset Management
  • Finance Processes
  • People Processes

Our Business Services teams focus on three areas: Systems and Transformation, Service Delivery, and Business Intelligence.
There’s no place like Heathrow when it comes to the scale of our ambitions. Our airport is in a period of rapid growth and change. To succeed, we need to be able to make decisions quickly, evaluate the financial, non-financial and carbon impact of our choices, and ensure they are supported by accurate data and insight.
This is an exciting time, as we deliver a new Business Services vision that embraces technology, drives continuous process improvement and unlocks insights to drive our business. Join us and discover unlimited opportunities to make a difference.

Responsibilities
  • Developing an understanding of the project lifecycle and portfolio as a sol i d base for analysis and insight, alongside understanding the assets being created through each project which enables you to provide a robust review of assets being capitalised.
  • Being responsible for the review of completed project data to ensure our assets are correctly capitalised on the asset register, prepare month end accounting information, develop analysis and commentary to be used in decisions by Project and Capital Portfolio management.
  • Analysis of month end project accruals and overheads absorption, reconcile financial and non-financial transactions, ensuring data integrity.
  • Preparing reporting with insightful commentary and reflect the accuracy of financial data through analysis and journals.
  • Collaborating with the Projects to Retire (P2R) team on projects relating to improvements in reporting capability.
  • Maintaining strong and effective relationships with key customers and business areas, investigating and resolving any queries, and providing a value-add service
  • Qualified accountant (CIMA, ACCA) or related accounting experience, part qualified with aim to reach qualified level.
  • Highly numerate with strong analytical skills.
  • Ability to communicate effectively at all levels, including the skill to influence and persuade.
  • Strong organisational skills, ability to plan, prioritise and work to tight deadlines
Loading...