CareerCross uses cookies to enhance your experience on our websites. If you continue to view our sites without changing your browser settings, then it is assumed that we have your consent to collect and utilise your cookies. If you do not want to give us your consent, then please change the cookie settings on your browser. Please refer to our privacy policy for more information.
CareerCross uses cookies to enhance your experience on our websites. If you continue to view our sites without changing your browser settings, then it is assumed that we have your consent to collect and utilise your cookies. If you do not want to give us your consent, then please change the cookie settings on your browser. Please refer to our privacy policy for more information.
| Location | United Kingdom, Wembley |
| Job Type | Permanent Full-time |
| Salary | Negotiable, based on experience |
Key Responsibilities
• Purchase Ledger Management: Process, code, and post supplier invoices accurately across multiple sites, ensuring correct cost-centre allocation across relevant cost centres and overhead categories.
• Supplier Reconciliations: Perform regular supplier statement reconciliations to resolve queries, trace missing invoices, and ensure the aged creditors list is clean and accurate for payment runs.
• Month-End Support: Assist in the preparation of monthly management accounts for individual sites, including calculating month-end accruals for un-invoiced supplier deliveries, prepayments, and journal entries.
• P&L Analysis: Review site-level Profit & Loss (P&L) statements, investigating variances against budget and previous periods.
• Gross Profit (GP) & Stock Control: Collaborate with site managers and operational teams to match purchase ledger data against weekly stock takes. Highlight inefficiencies, price creep, or cost discrepancies.
• Revenue Reconciliation: Reconcile daily sales (EPOS) against cash, credit card payments.
• Balance Sheet Reconciliations: Maintain and reconcile key balance sheet accounts, including the AP control account and intercompany transactions.
The Ideal Candidate
• Experience: Minimum 2-3 years of experience in a finance role, with solid hands-on experience in purchase ledger/accounts payable and reconciliations. Prior experience within hospitality, retail, or leisure is highly desirable.
• Qualifications: Part-qualified CIMA / ACCA , or a senior AAT studier.
• Tech Savvy: Proficient in Excel (VLOOKUPs, Pivot Tables). Experience with multi-site accounting software (e.g., Xero, Sage) or automated invoice capture and stock tools (e.g., Dext, Approvalmax) is a massive plus.
• Attention to Detail: High level of accuracy when processing high-volume supplier transactions and spotting discrepancies.
• Communication: Excellent interpersonal skills. You need to be comfortable chasing suppliers and communicating financial data to non-financial operational managers and stakeholders.
• Right to Work: Applicants must have the legal right to work in the UK. Visa sponsorship is not available for this role.
We regret to inform applicants that only shortlisted candidates will be notified. Thank you for your understanding.
Notice: By submitting an application for this position, you acknowledge and consent to the disclosure of your personal information to the Privacy Policy and Terms and Conditions, for the purpose of recruitment and candidate evaluation.
Privacy Policy Link: https://www.jac-recruitment.co.uk/privacy-policy
Terms and Conditions Link: https://www.jac-recruitment.co.uk/terms-of-use
| Minimum Experience Level | Over 3 years |
| Career Level | Mid Career |
| Minimum English Level | Fluent |
| Minimum Japanese Level | None |
| Minimum Education Level | Associate Degree/Diploma |
| Visa Status | No permission to work in Japan required |
| Job Type | Permanent Full-time |
| Salary | Negotiable, based on experience |
| Industry | Restaurant, Food Service |