Management Accountant (Fixed Term) at Wild Nutrition
Lewes, England, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

01 Dec, 25

Salary

0.0

Posted On

01 Sep, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Writing, Interpersonal Skills, Management Accounting, Excel, Google Sheets

Industry

Financial Services

Description

Wild Nutrition does supplements differently. Unlike 95% of the supplement market, Food-Grown® ingredients are as close to their original food form as possible. Better recognised, better absorbed, better retained.
Join Wild Nutrition, a fast-growing, purpose-driven company that values impact as much as profit. We’re looking for a driven Management Accountant to join our finance team to cover a period of maternity leave. In this pivotal role, you’ll manage month-end reporting, budgets, and process improvements. The ideal candidate is a highly organised problem-solver with a strong management accounting background who can work both independently and collaboratively in a dynamic, fast-paced environment. This is an excellent opportunity to gain diverse experience across B2C, B2B, and e-commerce sectors while helping to shape our financial processes.
At Wild Nutrition, we offer more than just a job. We provide a rewarding and meaningful career in a supportive environment that values collaboration, innovation, and wellbeing. Your work will help shape our future and contribute directly to our mission of empowering women’s health through pioneering, science-backed supplements.

What you’ll be doing:

  • Management of the month-end process including the preparation and review of monthly management accounts.
  • Prepare and review financial journals, including prepayments and accruals.
  • Lead a disciplined month-end close process, establishing clear internal deadlines and accountability.
  • Development and refinement of the monthly management information and reporting, with a focus on enhancing efficiency and automation.
  • Manage balance sheet reconciliations and cashflow updates.
  • Collaboration with key stakeholders/budget holders in the business to ensure optimal cost management and accurate reporting.
  • Contributing to the effective management of working capital.
  • Assisting in the development of annual budgets and forecasts, ensuring alignment with organisational goals.
  • Work with budget holders to update and maintain budget and forecast spreadsheets.
  • Supporting the Finance Manager and Finance Director with the year-end audit process and ad-hoc projects.
  • Producing ad-hoc internal reports for senior management.
  • Managing the administration of our company credit cards and expenses platform.

REQUIREMENTS

  • You are a CIMA or ACCA finalist or qualified by experience and working towards your qualification.
  • You have proven experience in management accounting, month-end and systems development
  • You possess strong proficiency in Excel, including formulas and functions, and can translate these skills to Google Sheets.
  • Your analytical and problem-solving skills are exceptional.
  • You have excellent interpersonal skills, capable of effective communication both in writing and verbally.
  • You are comfortable dealing with ambiguity and can work independently.
  • You are a true team player, ready to collaborate with internal and external stakeholders.
Responsibilities
  • Management of the month-end process including the preparation and review of monthly management accounts.
  • Prepare and review financial journals, including prepayments and accruals.
  • Lead a disciplined month-end close process, establishing clear internal deadlines and accountability.
  • Development and refinement of the monthly management information and reporting, with a focus on enhancing efficiency and automation.
  • Manage balance sheet reconciliations and cashflow updates.
  • Collaboration with key stakeholders/budget holders in the business to ensure optimal cost management and accurate reporting.
  • Contributing to the effective management of working capital.
  • Assisting in the development of annual budgets and forecasts, ensuring alignment with organisational goals.
  • Work with budget holders to update and maintain budget and forecast spreadsheets.
  • Supporting the Finance Manager and Finance Director with the year-end audit process and ad-hoc projects.
  • Producing ad-hoc internal reports for senior management.
  • Managing the administration of our company credit cards and expenses platform
Loading...