Interim Financial Accountant - initially 9 months - London - Β£300-350 per day
Are you an ACCA/ACA qualified accountant, looking for a new interim challenge?
Do you have financial accounting, controls experience and statutory audit knowledge?
Do you have strong stakeholder management experience?
This high-profile not-for-profit organisation is looking to recruit an experienced interim Financial Accountant . You will be required to support with the financial control, reconciliation of the balance sheet, statutory accounts production and other external reporting.
As the Financial Accountant, you will work within a small and focussed team and report to the Head of Finance. Your daily duties will include:
Manage the year end closing process, under the accounting standards of charities SORP, including closely monitoring the posting of year end journals and audit adjustments.
Ensure the implementation and monitoring of internal control procedures - performing relevant tasks in relation to the balance sheet.
Monitoring and forecasting cash flow and maintain treasury management controls and
Are you an ACCA/ACA qualified accountant, looking for a new interim challenge?
Do you have financial accounting, controls experience and statutory audit knowledge?
Do you have strong stakeholder management experience?
This high-profile not-for-profit organisation is looking to recruit an experienced interim Financial Accountant . You will be required to support with the financial control, reconciliation of the balance sheet, statutory accounts production and other external reporting.
As the Financial Accountant, you will work within a small and focussed team and report to the Head of Finance. Your daily duties will include:
Manage the year end closing process, under the accounting standards of charities SORP, including closely monitoring the posting of year end journals and audit adjustments.
Ensure the implementation and monitoring of internal control procedures - performing relevant tasks in relation to the balance sheet.
Monitoring and forecasting cash flow and maintain treasury management controls and