Accounts Technician
Listed on 2026-07-14
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Finance & Banking
Financial Reporting -
Accounting
Financial Reporting
Overview
Join a growing property finance team in an Accounts Technician role, where you ll play a key part in supporting the day-to-day finance function across a diverse property portfolio. This is an excellent opportunity for a finance professional looking to develop their technical accounting skills within a supportive and collaborative environment.
Benefits- Competitive salary negotiable based on experience
- Opportunities for professional development and further study support
- Supportive and collaborative team environment
- Flexible working arrangements
- Exposure to a varied property and investment portfolio
This organisation specialises in property investment and development, providing corporate support across a diverse portfolio of businesses and assets. Operating within a dynamic and fast-paced sector, the company has built a strong reputation for quality and long-term growth. Reporting directly to the Finance Manager, you will join a close-knit finance team responsible for maintaining high standards of financial control and reporting.
Qualifications- Qualified or Part Qualified Accounts Technician (AAT, IATI or equivalent)
- At least 2 years experience in a finance or accounting environment
- Strong working knowledge of Microsoft Excel and the wider Microsoft Office suite
- Excellent attention to detail and organisational skills
- Strong communication skills with the ability to build relationships across the business
- Ability to manage workloads effectively and meet deadlines
- Legally authorised to work in the UK
- Prepare and post journals, ensuring accurate financial records are maintained
- Perform monthly bank reconciliations and balance sheet reconciliations
- Assist with the preparation of management accounts and month-end reporting
- Support the preparation and submission of VAT returns
- Maintain sales and purchase ledger records, resolving any discrepancies as required
- Assist with year-end processes and support external auditors with information requests
- Process cash book transactions and ensure financial data is recorded accurately
- Liaise with internal and external stakeholders to resolve finance-related queries
- Support the Finance Manager with ad hoc finance projects and process improvements
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