Clearway Group

Financial Services

ManagementAccountant

£45–60k ~AI est. Goole, England, United Kingdom FULL TIME
Market Sentiment
HIGH DEMAND

Neural analysis suggests this role is
optimal for Mid+ candidates.

The Brief

“Management Accountant at Clearway Group. Skills: Management Accounting, Financial Reporting, Financial Analysis, Business Partnering. Manage day-to-day accounting activities. Manage purchase process”

What You'll Achieve.

Ensure quality of financial reporting; Ensure timeliness of financial reporting; Drive accurate KPIs; Drive meaningful KPIs; Ensure financial insights integration; Uphold honesty and transparency

Industry & Context.

Financial Services
Problems you'll solve

Analytical skills; Financial modelling; Forecasting; Variance analysis; Skilled problem solver; Assess situations; Identify solutions; Implement resolutions

What They're Looking For.

Must Have

Qualified or Part-Qualified Accountant, Demonstrable experience in finance or accounting roles, 5+ years financial analysis, 5+ years business partnering, Good level of excel knowledge, Good accounting systems knowledge, Analytical skills, Proficiency in financial modelling, Proficiency in forecasting, Proficiency in variance analysis, Excellent communication skills, Excellent interpersonal skills, Ability to work independently, Ability to prioritise tasks, Ability to manage multiple projects, Highest standards of integrity, Highest standards of ethical conduct, Proficient in financial analysis, Proficient in financial modelling, Skilled problem solver, Effective communication, Adaptable, Flexible

Nice to Have

Sage 200 knowledge preferred, CFA charterholder preferred, CPA charterholder preferred, FRM charterholder preferred, Series 7 license preferred, Series 63 license preferred, Series 65 license preferred, CAIA charterholder preferred, CFP certification preferred, ACCA certification preferred, ACA certification preferred

What You'll Do.

Manage day-to-day accounting activities

Manage purchase process

Manage intercompany invoicing

Support financial forecast preparation

Monitor performance against budget

Monitor performance against forecast

Identify opportunities for improvement

Collaborate with operational teams

Drive meaningful KPIs

Ensure financial insights integration

Participate in internal audits

Participate in external audits

Provide financial information

Provide financial documentation

Identify process improvement opportunities

Identify efficiency gains

Prepare monthly financial accounts

Collate daily group cash position

Report daily group cash position

Reconcile group intercompany accounts

Reconcile balance sheets

Prepare payroll calculations

Act as business partner

Offer financial leadership

Offer financial support

Handle ad hoc requests

Collaborate with divisional leaders

Develop annual operating plans

Develop long-term strategic initiatives

How You'll Work.

Team & Collaboration

Operational teams; Divisional leaders; Director of CGSS

Communication Scope

Interpersonal skills; Build relationships; Influence decision-making; Convey complex financial information; Communicate to diverse stakeholders

Full Job Description

We are seeking a diligent, detail-oriented, and hands-on Management Accountant to join our team, to support our financial operations. Reporting to the Financial Controller, the Management Accountant will ensure the quality and timeliness of financial reporting, while also taking responsibility for the day-to-day accounting and bookkeeping for the company. Key Responsibilities & Duties Manage all day-to-day accounting activities, including managing the purchase process, intercompany invoicing, and handling expenses. Oversee the bank account, including preparing and processing payment runs efficiently. Support the preparation of financial forecasts, including revenue projections, expense budgets, and cashflow forecasts. Proactively monitor performance against budget and forecast, identifying variances and opportunities for improvement. Collaborate with the operational teams to drive accurate and meaningful KPIs and month-end reporting, ensuring that financial insights are effectively integrated into business operations for strategic decision-making. Actively participate in internal and external audits by providing accurate and timely financial information and documentation specific to the company. Continuously identify opportunities for process improvement and efficiency gains within the company. Prepare monthly financial accounts for Clearway Technology Limited (CTL) and Clearway Group Support Services (CGSS), with supporting commentary highlighting key performance metrics and trends. Collate and report the daily group cash position, ensuring accuracy and timeliness. Monitor performance against budget and forecast, identifying variances and opportunities for improvement. Assist in the preparation of financial forecasts, including revenue projections, expense budgets, and cashflow forecasts. Reconciliation of group intercompany accounts and balance sheets on a monthly basis. Prepare the necessary calculations for submission to our external payroll bureau (circa 20 emp

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