Assistant Management Accountant - Retail Finance & Insights in Washington

Assistant Management Accountant - Retail Finance & Insights in Washington

Washington Full-Time 54000 - 66000 Β£ / year (est.) No working from home possible
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At a Glance

  • Tasks: Support financial reporting, perform reconciliations, and assist with month-end activities.
  • Company: Join a dynamic retail finance team in Washington, Tyne & Wear.
  • Benefits: Gain valuable experience in finance with opportunities for growth.
  • Other info: Collaborate with Finance Business Partners on budgets and forecasts.
  • Why this job: Make an impact in a fast-paced environment while developing your financial skills.
  • Qualifications: Strong attention to detail and a passion for finance.

The predicted salary is between 54000 - 66000 Β£ per year.

END. is seeking an Assistant Management Accountant to join the finance team in Washington, Tyne & Wear.

You will support accurate financial reporting, perform reconciliations, and assist with month-end activities while contributing to process improvements.

The role involves cash and bank reconciliations, accruals, and collaboration with Finance Business Partners on budgets and forecasts, with a focus on accuracy and control in a fast-paced retail environment.

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Assistant Management Accountant - Retail Finance & Insights in Washington employer: Ashworth and Parker Limited

Ashworth and Parker Limited is an excellent employer, offering a vibrant work culture that values creativity and collaboration in the heart of Washington, Tyne & Wear. With generous staff discounts and professional development opportunities, we empower our team to grow and thrive while embodying our brand identity in a supportive environment. Join us to be part of a dynamic team where your contributions directly impact our success in the fashion industry.

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Contact Details:

Ashworth and Parker Limited Recruitment Team

We think you need these skills to ace Assistant Management Accountant - Retail Finance & Insights in Washington

Financial Reporting
Reconciliations
Month-End Activities
Process Improvements
Cash and Bank Reconciliations
Accruals
Budgeting