Management Accountant
About Candidate
| Resides | Congleton |
| Nationality | United Kingdom |
Profile.
Education / Qualification
- CIMA qualified to Certificate Level and then paused – recently resumed operational in own time
- BSc Hons 2:1 Business and Enterprise Management
- 3x Levels in Applied Business (A), Economics (B), and Law (C)
Systems used
Sage, Microsoft Excel (Pivot tables, VLOOKUPS, SUMIFS), Access and other platforms within the Microsoft Suite.
About
A literate, confident, and analytical professional who is a highly ambitious and commercially astute team player, currently studying CIMA at the operational level having recently resumed study after a period of pause. Striving to surpass expectations, whilst thriving when working to tight deadlines both as an individual or within a team. Looking to secure a role back in Financial Services
Career Summary.
| Current Employer | Financial Services |
| Position | Management Accountant |
| Dates | March 2025 – June 2026 |
- Took full ownership of monthly management accounts for two entities within a wider group, delivering accurate and timely reporting into the monthly MI pack
- Partnered with Finance Business Partners to review P&L and balance sheet performance, with authority to post and recommend accruals, prepayments, and key adjustments
- Produced detailed MI packs including KPI summaries, variance analysis (vs budget and prior year), and cost breakdowns to support commercial decision-making
- Prepared and maintained supporting lead schedules, including general ledger and cashbook journals, payroll postings, and full balance sheet reconciliations
- Maintained and reconciled key balance sheet accounts, including creditors, debtors, and fixed assets
- Delivered clear month-on-month (MoM) commentary for inclusion in board packs
- Took ownership of consolidated group management accounts on a rotating basis within a three-person team, including group balance sheet and intercompany reconciliations, ensuring adherence to strict deadlines
- Managed intercompany reconciliation across 20+ entities, investigating variances and posting corrective journals to maintain accuracy
- Oversaw weekly cashflow forecasting, providing insight into cash movements and supporting purchase ledger payment planning
- Owned quarterly VAT returns for two entities, including reverse charge VAT reconciliation and discrepancy resolution prior to submission
- Utilised Power BI to track and report on KPIs, and Sage 200 for day-to-day financial management and reporting
| Current Employer | Joiners Limited |
| Position | Finance Manager |
| Dates | November 2020 – Present |
- Production of monthly management accounts pack to include P&L & margin analysis with commentary.
- Perform bank account, retention account & debtor reconciliations as part of the management accounts pack.
- WIP & accrual calculations.
- Responsible for managing invoicing and account reconciliation across a portfolio of 15+ clients within the construction industry. Ensuring accuracy and compliance with financial processes and project timelines
- Use of SAGE50 accounting software to generate and process CIS tax statements & subcontractor wage reports to ensure financial records are up-to-date and compliant.
- Accountable for profitability analysis to identify cost-saving opportunities & support key business decisions, with recommendations to help drive performance and enhance project profitability
- Creating and presenting management information reports to directors, analysing P&L, project margins, and identifying key areas for development to support strategic decision-making
- Soley responsible for the tender submission process of all new project contracts, ensuring accurate cost estimations whilst adhering to client led timeframes
- Effectively managing and providing annual reviews of our existing client contracts, to provide justification for any potential negotiations
| Previous Employer | Fintech Group of Companies |
| Position | Various Roles |
| Dates | May 2015 – November 2020 |
Reporting Analyst – May 2018 – Nov 2020
- Produced comprehensive management information reports, including group-wide profit analysis which were regularly distributed to directors and shareholders
- Led the production of monthly and quarterly financial information packs, which were integral to stakeholder meetings offering key insights to support informed decision-making
- Delivered KPI dashboard reporting on a daily and weekly basis, tracking critical performance metrics allowing for proactive adjustments and performance optimisation across the business
- Conducted financial reporting and analysis for key international brands within the Group, providing detailed insights into performance trends, operational costs and profitability
- Responsible for forecasting and variance analysis, comparing actual performance against financial forecasts, identifying deviations, and areas of key focus for the business
Assistant Management Accountant May 2015 – May 2018
- Production of management accounts for three business entities within the Group, ensuring timely and accurate reporting to support financial decision-making, with subsequent involvement in the preparation of group consolidated accounts.
- Posting of intercompany journals to correctly distribute costs between multiple international territories within the Group
- Involvement in the preparation of group consolidated accounts
- Managed the reconciliation of cash collections for online consumer credit products
- Responsible for the creation of multiple month end tasks using SAGE accounting software, including profit and loss reports, balance sheets and bank reconciliations
- Sole responsibility for invoicing and supplier payments, associated with one of the key international territories of Group
- High recognition within my role, successfully being awarded newcomer of the year at the annual group awards within my first year at the Group