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TREK GROUP LIMITED Logo

Trainee Management Accountant

316a334

Sheffield, England

Today

22000 - 25000 GBP ANNUAL

TREK GROUP LIMITED

Sheffield, United Kingdom

Unknown / Non-Applicable

Company - Public


Job Description

Trek Group Limited is a Sheffield based business looking to recruit an ambitious, driven Trainee Management Accountant with an immediate start available.

The company has consolidated its market position and looking forward to growth, and as a result is offering an outstanding part-qualified/graduate opportunity that will suit an ambitious individual looking to take the next step in their career with a business who can accommodate growth and further development.

The Trainee Management Accountant will be part of a team responsible for delivering accurate and timely information.

The ideal candidate will have a good academic background and to demonstrate the ability to achieve CIMA or ACCA qualifications, AAT training can be given as a route to entry on either qualification.

Previous finance experience is necessary either through academic qualifications or prior experience.

This is a full-time permanent role where you are expected to get involved in the business, needing a hands-on approach covering the whole range from transaction processing to reconciliations to accounts preparation.

Main duties and responsibilities to include:

*Own the management accounting process for selected business units from start to finish

*Processing financial transactions

*Produce accurate P&L information on a weekly, monthly, quarterly, annual and ad-hoc basis within strict deadlines

*Produce balance sheet reconciliations

*Assist in the preparation of annual budgets

*Provide useful commentary on financial information for review by the Senior Management Team

*Assist in identifying areas (system and process) needing improvement and be proactive in helping effect the required change

*Work closely with the Finance Team, including Sales Ledger and Purchase Ledger, and liaise with members of other departments to ensure the accuracy of information reported where applicable

*Take ownership of the rolling cash flow forecast, ensuring the business has enough working capital for day-to-day and longer-term strategic needs

*Preparation of reports required by external and internal stakeholders required from time-to-time

*Preparation and submission of quarterly VAT returns

*Treasury management including payment processing approval

*Any other ad-hoc duties

The working hours for this role are 8:30am-5:00pm Monday to Friday.

In return we can offer:

- 26 days holiday plus statutory bank holidays

- Life assurance policy

- Occupational sick pay policy

- Career Development and training

- Pension Scheme

- Free on site parking

Job Types: Full-time, Permanent

Salary: £22,000.00-£25,000.00 per year

Schedule:

Work Location: One location


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