This is a great opportunity for an experienced accountant, fully or partly-qualified CIMA or ACCA, to join an inspiring private investment firm based in the heart of London. The role is office-based five days per week, and the team and the ambitious positive investments focus for the firm, make this job a great opportunity for anyone who would like to join a growing and progressive international team.
Responsibilities
- Accounts Receivable (A/R) – Prepare data and supervise invoice issuance (incl. assistance with the transfer pricing methodology application – i.e. responsible for timely collection of timesheet reports from staff, assisting with timesheet reports preparation when necessary, collecting information necessary for invoices issuance, overseeing the issuance of the invoices)
- Revenue recognition
- Accounts payable (A/P) – Manage invoice flow (checking incoming/outcoming invoices, responsible for their timely collection and handling over to accountants, registering invoices in the internal database, preparing payments and related reports, providing information to the management)
- Conducting reviews and evaluations for cost-reduction opportunities
- Managing full-cycle accounts payable (A/P) & accounts receivable (A/R) & payroll
- Preparing Bank and G/L reconciliation
- Ensuring that all financial / accounting transactions are properly recorded, filed and reported
- Preparing accounts on the accrual basis
- Ensuring accurate and timely monthly, quarterly and year-end close processes
- Liaising with external accountants to ensure appropriate monitoring of company finances is maintained
- Managing cash flow
- Preparing financial statements, financial analysis, and budgeting and managerial reporting
- Preparing, executing, monitoring and controlling of budgets (at least 3 separate budgets with P&L, cash flow actuals/forecasts)
- Conducting semi-annual budget reviews
- Providing financial reports and interpreting financial information to staff while recommending further courses of action
- Providing updates and improvements for internal systems and processes, participating in improving the reporting system
- Preparing ad hoc reports and other ad hoc tasks as requested by the senior management
- Engaging and working with the banks on payments issues, and transactions whilst maintaining the relationships
- Working with external consultants on tax submissions
- Ensuring financial compliance
Ideally, you will be/have
- Proven working experience of 3-8 years of experience in accounting and/or financial analysis
- Partly-qualified CIMA or ACCA
- Working knowledge of all statutory legislation and regulations
- Experience with reporting, planning, and communication with budget owners
- Good cash flow management skills
- Knowledge of financial reporting and data mining tools
- Language skills: fluent English and UK-based experience. Russian language is a great advantage
- Excellent communication skills
- A team player
- Excellent organisational skills
Job attraction
- Amazing team to work with, progressive and ambitious management team
- Great office location
- Salary, discretionary bonus, benefits
- Long-term stable opportunity to develop professionally
- A team dedicated to making a positive change through positive investments in green energy and venture capital