Accounting Manager

Jellyfishcareers
London, United Kingdom
HybridCareer-pivot friendly

Who this role is best for

Aimed at mid-level to senior finance professionals who excel in detailed financial reporting and inter-departmental collaboration.

Best fit for

  • Candidates with 3+ years of accounting experience and a strong grasp of financial reporting frameworks
    — “3+ years of experience in a financial role with experience working with the general ledger, balance sheet reconciliations and P&L reviews.
  • Professionals who can demonstrate expertise in handling international financial obligations and exchange rates
    — “Foreign Exchange analysis, entries, and reconciliations.

Things to consider

  • There is a clear expectation of collaboration across teams and departments
    — “We Are One Bloom: We have diverse skill sets, but radically collaborate for shared success.

How to stand out

  • Highlight experience with month-end and year-end reporting processes and their accuracy
    — “Contribute to the accurate execution, preparation and submission of all month-end and year-end financial reporting.
  • Emphasize your ability to resolve reconciliation issues and prepare supporting documentation
    — “Monthly balance sheet reconciliations, preparation of reporting, including supporting documentation and resolving any reconciliation issues.
  • Showcase your proficiency in financial analysis and variance explanation for P&L and Balance Sheet
    — “Provide analytics for the P&L and Balance Sheet, explaining the variations and transactions.
Pace · SteadyCollaboration · MediumAutonomy · MediumDecision Impact · Team

Derived from job-description analysis by Serendipath's career intelligence engine.

What success looks like

  • contribute to the accurate execution of financial reporting
  • prepare and reconcile inter-company entries
Typical background
3+ years of experience in a financial role

Skills & requirements

Required

Accurate Execution, Preparation And Submission Of All Month-end And Year-end Financial ReportingMonthly Balance Sheet ReconciliationsUk Vat Return Preparation And SubmissionProvide Analytics For The P&l And Balance Sheet

Preferred

Support Audit QueriesContribute To The Preparation Of Budgets

Stack & domain

Google SheetsExcelVAT Return PreparationBudget PreparationFixed Asset ManagementForeign Exchange AnalysisProblem-solvingOwnershipAccountabilityClient-centric MindsetFinanceAccountingTax

About the role

Original posting from Jellyfishcareers via Ashby

Accounting Manager | Finance

Jellyfish is a full service global digital agency, combining strategy, creative, data and media buying and planning expertise with technology under one integrated roof. With almost 2,000 Jellies across 38 offices worldwide, we are the unconventional global marketing partner of the future.

We understand both brand and activation. We ensure our clients reach, influence and connect with the right audiences and fans based on data that reveals the insights to deliver exceptional creative solutions across any platform. In short, we create and deliver culturally relevant creativity that cuts through the clutter and sets hearts (and feeds) on fire.

As part of the Brandtech Group we’re at the forefront of the deployment of GenAI tools across every aspect of what we do and in PencilPro we have the world’s No 1 generative AI platform, revolutionising the process of creative production, distribution and performance prediction.

This role reports to the Senior Financial Controller

Primary Responsibilities

  • Contribute to the accurate execution, preparation and submission of all month-end and year-end financial reporting.
  • Monthly balance sheet reconciliations, preparation of reporting, including supporting documentation and resolving any reconciliation issues.
  • Inter-company entries, preparation and reconciliation.
  • Complete month-end journals, including accruals and prepayments
  • UK VAT Return preparation and submission
  • Provide analytics for the P&L and Balance Sheet, explaining the variations and transactions.
  • Maintain control of the fixed assets with supporting documentation and register monthly depreciation.
  • Foreign Exchange analysis, entries, and reconciliations.
  • Contribute to the preparation of budgets
  • Support audit queries, payroll journals, and payment of liabilities
  • Support the transfer pricing and cost allocation model processes

Skills and Competencies

  • 3+ years of experience in a financial role with experience working with the general ledger, balance sheet reconciliations and P&L reviews.
  • Proficient in formulas in Google Sheets and Excel
  • ACA or ACCA qualified. ( or part-qualified at the final stage of exams)

Values and Behaviours

Jellyfish Values

We Are Real & Rigorous

We cut through the noise with real analysis and brilliant rigour.

We Are Free-Thinking

We create and invent, staying curious and always challenging convention.

We Are All Authors

We take ownership, support one another, and lead by example.

We Are One Bloom

We have diverse skill sets, but radically collaborate for shared success.

Behaviours

Client-Centric Mindset

Anticipates client needs and proactively provides solutions or recommendations

Ownership and Accountability

Owns mistakes, identifies lessons learned, and implements improvements to avoid repeating errors

Problem-Solving

Identifies potential obstacles early and develops actionable solutions to mitigate risks

Commitment to Growth and Learning

Proactively seeks feedback from colleagues, and clients to identify areas for improvement

Source: Jellyfishcareers careers (Ashby)

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