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Open nowPosted 15 hours ago

Finance - Temporary Management Accountant - FIXED TERM

NVS Group17 open roles

Where
Stoke-on-Trent, UK
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Your applicationOpen nowFinance - Temporary Management Accountant - FIXED TERMNVS Group · Stoke-on-Trent, UK
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  3. 8.2%7 days
  4. 15.2%14 days
  5. 34.1%30 days
This job: posted 15 hours ago

The posting

Please note, this is a Temporary Management Accountant role FTC 9-12 months.    Job Title:                Management Accountant    Reports to (title): Assistant Financial ControllerDepartment:          Finance                                  Business unit:         AllPrepared by:         AF                                            Date: September 2026                                Main purpose of the role To provide support to NVS in achieving its business objectives, through the production of the Monthly Management Accounts, Forecast and Budgets, ensuring accurate records are kept and Regulatory Requirements are adhered to.   Core role accountabilities ·    Ensure that Purchase Ledger Invoices are coded to the correct cost centres and nominal codes, and   signed off in accordance to the relevant Mandates·    Assist with Stock takes and recording movements across the sites·    Maintain stock listings·    Maintain the asset register, calculate depreciation and reconcile to the nominal·    Create and process monthly journals that relate to the production of the accounts·    Review daily & monthly Bank Reconciliations·    Provide monthly control accounts and ensure relevant analysis and proof is created·    Production of all VAT returns, EC Sales list and any other national statistical office returns for review·    Prepare Budget and Forecast Information·    Produce Account Analysis where required·    Revaluation of Foreign Bank and Supplier accounts·    Process month ends and month end reports within set deadlines·    Maintain the exchange rates on the system·    Production of the monthly management accounts·    Production of year end information for the auditors·    Production of the Tax packs and Consolidation packs·    Analysis and posting of expenses and ensure correct approval·    Reconciliation of Petty cash accounts across all sites·    Other adhoc finance related duties when requested·    Assist with the analysis of Imports paperwork·    Preparation and posting of monthly accruals and prepayments·    Provide cover for Sales and Purchase Ledger when required·    Reconcile Intercompany balances on a monthly basis Personal attributes: Qualifications, experience, skills, knowledge and competencies required to fulfil the role Must be ACCA, CIMA, ACA or equivalent qualification Excellent excel skills Methodical in approach Driven and enthusiastic personality Experience of supervising other team members Excellent interpersonal and communication skills     

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