Stone King

Finance

FinancialAccountant

Bath, United Kingdom FULL TIME Remote Friendly
The Brief

“Financial Accountant at Stone King. Skills: Financial Accounting, Statutory Accounts, Audit Processes, Balance Sheet Control, Financial Governance, Compliance. Own the general ledger, ensuring accurate, timely and well‑controlled postings. Prepare and review month end journals including, accruals, prepayments, depreciation, partner adjustments, and other month‑end entries”

What You'll Achieve.

integrity of the firm’s financial records; delivery of accurate and timely management accounts; leadership of statutory accounting and audit processes; clear ownership of financial accounting standards; balance sheet discipline; audit readiness; setting the tone for control, compliance and consistency across the finance function; disciplined execution; protect data integrity; ensuring compliance with UK GAAP and legal‑sector requirements; effective cashflow management; consistent compliance, risk control, and best practice; ensuring delivery within agreed deadlines; influence decision-making effectively; drive to improve processes and outcomes

Industry & Context.

Finance
Problems you'll solve

Investigate and resolve discrepancies to protect data integrity; Identify control weaknesses and lead practical improvements; Solutions focused approach with drive to improve processes and outcomes

What They're Looking For.

Must Have

Part- or fully-qualified accountant (ACA / ACCA / CIMA), financial accounting and month end experience, Experience supporting statutory accounts and audit preparation, Confident owning balance sheet control and reconciliations, Experience supervising or coaching junior team members, Excel and financial systems capability, Ability to build effective relationships across the firm to help influence best practice, Understanding of VAT legislation and AML regulations

Nice to Have

Experience in a law firm or professional services environment, Experience with Elite, Aderant or similar PMS, Experience strengthening financial controls or audit processes

What You'll Do.

Own the general ledger

timely and well‑controlled postings

Prepare and review month end journals including

and other month‑end entries

Collaborate with working capital teams (billing

cashiering) to validate financial data

Produce accurate monthly management accounts including P&L

Production of monthly operating statements for fee earning teams

Maintain robust balance sheet reconciliations

ensuring audit‑ready documentation

Investigate and resolve discrepancies to protect data integrity

Support preparation of annual LLP statutory accounts

ensuring compliance with UK GAAP and legal‑sector requirements

Prepare year‑end audit files

and respond to audit queries

Act as first point of contact for external auditors on technical accounting and to coordinate audit deliverables

and supporting analysis

Support tax information preparation for auditors and advisors

Day‑to‑day oversight of Accounts Payable and the Assistant Management Accountant

Ensure supplier invoices are accurately coded

approved and processed in line with policy

Monitor aged payables and support effective cashflow management

Review payment runs and ensure a audit trail

Maintain ledger discipline across AP

Centrally manages contracts in line with procurement policy

ensuring consistent compliance

Guiding the Assistant Management Accountant on month‑end responsibilities and developing their technical skills

Support annual budgeting alongside business support teams

Contribute to rolling forecasts from a cost perspective

Support the Head of Finance in maintaining internal control frameworks

Ensure compliance with VAT

AML‑related financial processes and relevant legislation

Identify control weaknesses and lead practical improvements

Support finance systems integrity (e. g. PMS

finance systems and reporting tools)

Drive incremental improvements in month‑end

AP and ledger processes

Act as a technical finance input into system change and upgrades

How You'll Work.

Team & Collaboration

Collaborate with working capital teams (billing, credit control, cashiering) to validate financial data; Ability to build effective relationships across the firm to help influence best practice; Support annual budgeting alongside business support teams; Guiding the Assistant Management Accountant on month‑end responsibilities and developing their technical skills; Act as a technical finance input into system change and upgrades; Ability to work collaboratively and team-first attitude

Communication Scope

Excellent written and verbal communication skills, with the ability to convey ideas and influence decision-making effectively

Process & Methodology

organisation skills, taking full ownership of tasks and ensuring delivery within agreed deadlines

Free ATS check

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