ROLE OVERVIEW
PURPOSE OF JOB
To support the Senior Manager of the PCS Finance team that is responsible for co-ordinating the delivery of financial information from trading entities located in Europe and AMEA, liaising with local JTC finance teams where appropriate. To include monthly management accounts and analysis of MI. Ensuring yearly statutory accounts preparation, audits and financial corporate governance.
MAIN RESPONSIBILITIES AND DUTIES
- Responsible for the preparation of monthly management accounts.
- Responsible for interpretation and analysis of month end results.
- Bookkeeping monthly payroll and completion of associated reporting.
- Responsible for the preparation of year-end statutory financial statements under relevant accounting standards.
- Responsible for running the audits of regulated entities (at both interim and year-end), liaising with auditors on accounting and reporting issues and managing audit deliverables and queries to ensure that filing deadlines are met.
- Responsible for liaising with external tax providers with regards to relevant filings to deadline.
- Involvement in the year end budgeting process.
- Responsible for all regulatory reporting requirements.
ESSENTIAL REQUIREMENTS
- ACCA/ACA qualified.
- Strong knowledge of GAAP and financial reporting.
- Attention to detail and organisational skills.
- Ability to work in a fast-paced environment with multiple priorities.
- Strong communication and interpersonal skills.
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