Group Management Accountant
Listed on 2026-06-20
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Finance & Banking
Financial Reporting, Financial Analyst, Accounts Receivable/ Collections, Accounting Manager -
Accounting
Financial Reporting, Financial Analyst, Accounts Receivable/ Collections, Accounting Manager
Title – Group Management Accountant
Reports to – Group Finance Manager
SummaryWe are seeking an ambitious and driven Group Management Accountant to join an established global finance team to undertake a 12 month fixed term contract in a hybrid role based in South West London. You will play a key role in supporting the Group Finance Manager across core financial processes, including month-end close, balance sheet control, and group reporting across their international entities.
This is an excellent opportunity to join a growing international software business, where you will gain exposure to group reporting, multi-entity consolidation, and process improvement.
- Maintain and reconcile bank accounts across multiple entities, including weekly postings and reconciliations
- Manage the fixed asset register, including additions, disposals, transfers, depreciation, and reconciliations
- Prepare and post monthly journal entries, including accruals, prepayments, payroll, and intercompany
- Perform balance sheet reconciliations, ensuring accuracy and completeness across all entities
- Reconcile credit cards, supplier accounts, and other control accounts on a timely basis
- Preparation of supplier payment runs globally
- Responsibility for the period contract renewal process in Zone Billing.
- Support the month-end close process, ensuring deadlines are met across all regions
- Assist with group cashflow reporting to the parent company
- Perform analytical review of P&L performance vs budget and prior year, identifying key variances
- Reconcile Net Suite to operational systems (e.g. Time Log) to ensure data integrity
- Assist with revenue recognition processes as required
- Support external audits by preparing schedules and responding to auditor queries
- Ensure compliance with internal controls, policies, and group reporting requirements
- Work within and help improve ERP systems (Net Suite) and related reporting tools
- Identify opportunities to automate processes and improve efficiency, particularly in reconciliations and reporting
- Support data integrity and consistency across finance systems
- Assist with projects and process improvements across the finance function
- Take on additional responsibilities as skills and experience develop
- Experience in a finance or accounting role, ideally within a multi-entity environment
- Strong Excel skills (e.g. lookups, pivot tables; Power Query advantageous)
- Experience with monthly close processes and reconciliations
- Strong analytical skills with attention to detail
- Clear and professional communication skills
- AAT Qualified or equivalent, will also consider individuals currently studying towards a professional qualification
- Experience with Net Suite or similar ERP systems
- Exposure to group reporting or multi-currency environments
- Experience reconciling integrated systems (finance vs operational platforms)
If you are looking for a role where you will enjoy being part of an established and supportive team, this could be the role for you. You will be in the office 1-2 days a week based in the Putney area. They are walking distance from the local tube station and there is also limited car parking onsite.
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