<div class="external-paneltrix-content external-paneltrix-content--colored external-paneltrix-content--lead-in" id="external-jobs-show-description"><script type="application/json" id="js-react-on-rails-context">{"railsEnv":"production","inMailer":false,"i18nLocale":"en","i18nDefaultLocale":"en","rorVersion":"13.0.2","rorPro":false,"href":"https://careers.elemis.com/en/postings/3936ef7e-c577-4492-9407-c608a90fbd0f","location":"/en/postings/3936ef7e-c577-4492-9407-c608a90fbd0f","scheme":"https","host":"careers.elemis.com","port":null,"pathname":"/en/postings/3936ef7e-c577-4492-9407-c608a90fbd0f","search":null,"httpAcceptLanguage":"en-US,en;q=0.9","serverSide":false}</script><div id="External::Careerspage::Renderrichtrixcontent-react-component-3239aab6-313e-4814-b7d7-027a6b6fd0a2"><div><div><!--block-->Reporting to the Head of Finance and working alongside a team of Management Accountants, the purpose of the Management Accountant is to deliver accurate and on-time financial reporting to satisfy internal and external requirements. 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class="external-definition-list hide-at-sm-block" id="external-jobs-show-meta-mobile"><dt class="pinpoint-job-sidebar--department">Department</dt><dd class="pinpoint-job-sidebar--department">Finance</dd><dt class="pinpoint-job-sidebar--employmenttype">Employment Type</dt><dd class="pinpoint-job-sidebar--employmenttype">Permanent - Full Time</dd><dt class="pinpoint-job-sidebar--location">Location</dt><dd class="pinpoint-job-sidebar--location">Office, Avonmouth/Filton</dd><dt class="pinpoint-job-sidebar--workplace-type">Workplace type</dt><dd class="pinpoint-job-sidebar--workplace-type">Hybrid</dd></dl><h2 class="external-panelheading" id="responsibilities-heading">Key Responsibilities</h2><div class="external-paneltrix-content external-paneltrix-content--colored" id="responsibilities-body"><div id="External::Careerspage::Renderrichtrixcontent-react-component-c7510e45-d657-4d88-91f4-fa97f292a990"><div><ul><li><!--block-->Prepare accurate and timely management accounts with ownership over key areas, including P&L, Balance Sheet and Cashflow. </li><li><!--block-->Maintain ownership of allocated Cost Centers, partnering with budget owners to identify opportunities to manage budgets more efficiently, providing education and recommendations, challenging decisions tactfully to add value. </li><li><!--block-->Partner with the Commercial Finance Team to manage budgets and support Planning, Performance Tracking and Metrics, effectively managing any changes that impact the numbers and ensuring that costs are correct. </li><li><!--block-->Ensure compliance with accounting standards and Group accounting policies to support month-end processes; ensure costs are accounted for and allocated correctly, prepayments are managed, and pre-empting any issues </li><li><!--block-->Manage our cash flow processes to accurately report on and forecast the financial health of the business and align to Group requirements, maintaining awareness around what’s impacting budgets from a cash flow, cash flow forecasting and Accounts Receivable and Accounts Payable perspective </li><li><!--block-->Partner with the Credit Controlling team to identify opportunities to mitigate risks impacting the P&L. </li><li><!--block-->Maintain comprehensive internal process notes and accurate financial records to ensure compliance with relevant policies and regulations. </li><li><!--block-->Perform balance sheet reconciliations with accuracy, delivering actionable insights. </li><li><!--block-->Own key processes to support the audit process including preparing the reports, supporting testing, and responding to any auditor queries by providing investigation and full picture solutions. </li><li><!--block-->Support the senior finance team in responding to external stakeholder requests, including HMRC enquiries and compliance checks. </li><li><!--block-->Deliver ad-hoc analysis and interpretation of financial data to help guide business performance and influence decisions. </li><li><!--block-->Identify 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