Financial Accountant

Posted 1 day 1 hour ago by Sowena Group

Permanent
Not Specified
Other
Manchester, United Kingdom
Job Description

Sowena Group have exclusively partnered with a PE backed, high growth international manufacturing business in their search for a new Financial Accountant based in Manchester city center.


This international SME is in a phase of rapid growth and has ambitious plans to continue to scale. The finance team are looking for a detail oriented, proactive accountant with a strong background in treasury to join the team and progress alongside the business' growth. Being PE backed, this business offers a huge amount of exposure and a fast paced, varied environment with lots of access to the SLT and mentorship opportunities.


Key Responsibilities:

  • Prepare and maintain accurate financial records in compliance with UK GAAP/IFRS and company policies.
  • Manage daily treasury operations, including cash flow forecasting, liquidity management, and bank reconciliations.
  • Monitor and optimise working capital, ensuring sufficient cash availability for operational needs.
  • Liaise with banks and financial institutions to manage banking facilities, payments, and treasury services.
  • Support month-end and year-end closing processes, including reconciliations, journal entries, and reporting.
  • Assist with the preparation of financial statements and management reports.
  • Identify and mitigate treasury risks related to currency, interest rates, and counterparty exposures.
  • Ensure compliance with internal controls and corporate governance standards in both accounting and treasury activities.
  • Collaborate with cross-functional teams, including accounts payable/receivable, tax, and audit.
  • Support treasury-related projects, such as cash pooling, intercompany loans, and treasury system implementations.


Required Qualifications & Experience:

  • Qualified Accountant (ACA, ACCA, CIMA, or equivalent).
  • Proven experience as a Financial Accountant, ideally with a strong treasury component.
  • Solid understanding of financial accounting principles, treasury management, and cash flow processes.
  • Experience in cash flow forecasting, bank relationship management, and treasury risk management.
  • Proficiency with accounting software and treasury management systems (e.g., SAP, Oracle, Kyriba).
  • Strong Excel and analytical skills.
  • Excellent communication and interpersonal skills.
  • Ability to work independently and as part of a team in a fast-paced environment.
  • Attention to detail and strong organisational skills.


Preferred:

  • Experience working in a multinational environment or in the manufacturing/trading sector.
  • Exposure to foreign exchange risk management and hedging instruments.
  • Knowledge of compliance and regulatory requirements relating to treasury.


What We Offer:

  • Annual bonus at Christmas
  • Opportunity to work with a collaborative and supportive finance team.
  • Professional development and training opportunities.
  • Hybrid working flexibility, 1 day WFH.
  • Flexibility on working hours.


Package - £45k- £55k + bonus (package could be flexible for the right candidate and level.)


This is a fantastic opportunity for a confident, self-starter who has recently Qualified or is looking for a second time move, with a background in treasury and audit. The ideal person for this will be looking for a role that offers massive exposure and scope to grow in a PE backed international business.