Finance Analyst at Ingersoll Rand
Stockport SK7 5BW, England, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

06 Sep, 25

Salary

0.0

Posted On

07 Jun, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Accounting

Description

ABOUT US

Imagine a company with technology leadership of over 160 years, yet it operates with the energy of a startup. Ingersoll Rand has dedicated itself to Making Life Better for its employees, customers, shareholders, and planets. We produce innovative and mission-critical flow creation and life science technologies – from compressors to precision handling of liquids, gasses, and powers – to increase industrial productivity, efficiency, and sustainability. Supported by over 80+ brands, our products are used in various end-markets including life sciences, food and beverage, clean energy, industrial manufacturing, infrastructure, and more. Across the globe, we’re driving growth with an entrepreneurial spirit and ownership mindset. Learn more at irco.com and join us to own your future.

JOB OVERVIEW:

We are seeking a detail-oriented part-qualified accountant to join our Finance team at Solo Containment in Hazel Grove for a fixed term of 12 months (maternity cover). The ideal candidate will be responsible for reporting financial transactions, maintaining bank accounts with corresponding cashflow forecasts, creating invoices in line with stage payments, assist in preparing management accounts, balance sheet reconciliations and work closely with the Director of Finance to support accounting and forecasting activities.

REQUIREMENTS:

  • Bachelor’s degree/working towards accounting qualification (CIMA/ACCA etc)
  • 2+ years of accounting experience in a manufacturing environment.
  • 2+ years of experience in an international group business
Responsibilities
  • Maintain book keeping in the ERP, allocating receipts and reconciling payments to supplier statements (with AP/AR support provided by transactional finance team)
  • Monitor financial transactions and prepare weekly cash flow forecasts to support the working capital demands of the business, working closely with the Director of Finance
  • Prepare journals, maintain the fixed asset register and prepare balance sheet reconciliations along with other monthly close activities in accordance with SOX/UK GAAP
  • Prepare weekly revenue and bookings reports, working collaboratively with the wider team to support any ad-hoc queries on the same
  • Maintain chart of accounts in Syspro (ERP) and manage uploads to the group consolidation tool (Hyperion)
  • Complete quarterly VAT returns to HMRC and support any inspections
  • Processing employee expense payments and support the transition of card-holders to a new corporate card as the Solo Containment business is integrated with IR
  • Support the year end external audit and any ad-hoc group reporting queries
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