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Statutory Financial Accountant
2 months ago
Position Overview
The Statutory Financial Accountant will be an integral member of the Finance Division, reporting directly to the Finance Manager.
Essential Skills and Knowledge
- Ability to thrive under pressure while meeting strict reporting deadlines.
- Effective communication skills for interaction with staff, management, and auditors.
- Organized methodology in managing workloads and adhering to deadlines.
- Understanding and compliance with Sarbanes-Oxley regulations in all job functions.
- Proficiency in various software applications relevant to the role.
- Comprehensive knowledge of the company's diverse operational areas.
- Meticulous attention to detail and accuracy in all deliverables.
Qualifications and Experience
- Professional accounting qualification (ACA, ACCA, or equivalent) with extensive experience in statutory accounting and financial reporting.
- In-depth knowledge of UK GAAP or IFRS, with a proven track record in preparing statutory financial statements.
- Strong grasp of tax laws and compliance obligations.
- Experience collaborating with external auditors and overseeing the audit process.
- Exceptional attention to detail and precision in financial documentation and reporting.
- Robust analytical and problem-solving capabilities, with the ability to interpret intricate financial data.
- Proficient in Excel.
- Excellent verbal and written communication abilities.
Key Responsibilities
- Prepare and file statutory financial statements for 15 entities in accordance with UK GAAP.
- Ensure adherence to statutory reporting standards, tax regulations, and accounting principles.
- Assist in the preparation of tax returns and other regulatory submissions, ensuring accuracy and punctuality.
- Calculate monthly revenue for the TPA Division.
- Support the Finance team in the preparation of monthly management accounts, including lease accounting and Bad Debt Provision calculations.
- Generate monthly Profit & Loss statements and Balance Sheets for timely submission to the Head Office finance department.
- Prepare monthly cash flow statements.
- Ensure reconciliation of key Balance Sheet accounts during the month-end process.
- Address financial inquiries from both domestic and international stakeholders.
- Coordinate with Internal and External Audit teams for mid-year and year-end group and statutory audits.
- Analyze financial data to identify opportunities for process enhancements and efficiency improvements.
- Collaborate with internal departments, including finance, legal, and tax teams, to ensure compliance and accurate financial reporting.
- Proactively seek personal development opportunities and take ownership of training and growth.
Desired Attributes
- Dedicated and diligent work ethic.
- Ability to foster strong working relationships with colleagues and management.
- Approachable and collaborative demeanor.
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