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Assistant Management Accountant, Bank Reconciliation

Permanent
Accounting, Actuarial & Tax
£25,000 – £50,000
PP22708

Description

Bring your finance expertise into a detail driven role where accuracy control and collaboration are key to group reporting.

The Role

A hands on position focused on reconciliations month end support and financial control.


  • Prepare balance sheet and bank reconciliations for designated entities and accounts

  • Investigate and resolve discrepancies escalating issues where appropriate

  • Maintain and update the group reconciliation matrix

  • Post journals and support month end reporting activities

  • Process electronic payments in line with internal controls



About You

You bring a methodical approach strong numeracy skills and the ability to work to deadlines.


  • Part qualified accountant studying towards a recognised qualification or equivalent experience

  • Strong Excel skills with excellent numerical accuracy

  • High level of attention to detail and problem solving ability

  • Clear communicator confident working with stakeholders

  • Experience using ERP systems ideally SUN or Xero



The Reward


  • Monday to Friday working hours 0900 to 1700

  • Isle of Man based role

  • Exposure to group level finance and multiple entities

  • Supportive finance team environment

  • Opportunity to develop technical accounting experience