Management Accountant at Roam
Crawley RH10 9BG, , United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

12 Jun, 25

Salary

0.0

Posted On

12 Mar, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Time Management, Netsuite

Industry

Financial Services

Description

JOB SUMMARY

Roam are looking to add a new member to its growing finance team, based out of the Roam headquarters in Crawley, West Sussex.
Reporting into the Financial Controller, this role is responsible for supporting with the production of management accounts as well as supporting with statutory, shareholder and ad-hoc business reporting needs.
This is a fantastic opportunity for someone to join a fast-growing business and progress their career. A continual improvement mindset, and challenging the status quo is key for success.

Skills and experience

  • Strong financial experience (see qualifications requirements below)
  • Experience of working in a high change / high growth environment
  • Strong IT skill and proficiency with MS Office Applications; particularly Excel
  • Experience of using NetSuite is preferable, but not essential.
  • Excellent interpersonal, organisational, time management and attention to detail skills
  • Willingness to be flexible and develop within the role as the business grows
Responsibilities
  • Management accounts: preparation of management accounts and reporting on key business KPI’s as part of the Board Pack each month including commentary to explain key variances
  • Balance Sheet Reconciliations: ensure that all required reconciliations are completed within the month end deadlines to maintain complete and accurate records.
  • Departmental Management Reporting: prepare for and review with management, monthly departmental cost reports compared to budget, also reviewing planned future spends as deviate from budget and ensure that these are accounted for in future cashflows/forecasts.
  • Regulatory reporting & Audit: support with ensuring all our regulatory reporting is done to time including statutory accounts and corporation and other taxes.
  • Budgeting: supporting with the annual budget preparation, reforecasts if requested and other such analysis to provide data insights to our Board, investors and the rest of the company, as required.
  • Treasury: supporting with cashflow forecasting, cash management and investment.
    Business partnering: looking for ways to gain efficiencies, automations and control improvements to support the Finance team and the wider organisation during this period of significant growth.
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Skills and experience

  • Strong financial experience (see qualifications requirements below)
  • Experience of working in a high change / high growth environment
  • Strong IT skill and proficiency with MS Office Applications; particularly Excel
  • Experience of using NetSuite is preferable, but not essential.
  • Excellent interpersonal, organisational, time management and attention to detail skills
  • Willingness to be flexible and develop within the role as the business grows.

Qualifications

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