A fantastic new opportunity has arisen for a Financial Accountant to join the Pavers Head Office Finance/Accounts Team at Northminster Business Park, York. This role is offered as a full-time permanent opportunity in a growing business where you are encouraged to develop your skills in a supportive environment. This is a key role, responsible for all the financial transactional functions, reporting to the Head of Finance and working directly alongside our Management Accountant, to ensure daily and weekly cash flow reporting is updated for the senior operating group. You’ll manage the revenue journals, cash flow analysis, bank reconciliations and assisting with Balance Sheet statements. You’ll manage a team of 4-5 accounts assistants (AAT Level), mentoring and guiding some in their professional development. This role would suit a newly fully qualified (CIMA / ACCA), or very experience part-qualified accountant seeking involvement in the full range of a company’s financial matters. You'll ideally have worked in a similar organisation, with multiple brands within the group. We are looking for a colleague who is self-motivated and can work on their own initiative, able to demonstrate a methodical approach, with excellent written and verbal communication skills, along with a head for numbers high analytical abilities. Let’s see what’s in it for you: Salary £Competitive, dependant on experience Discretionary Annual Bonus scheme Generous colleague discount scheme, some of which can be shared with your family and friends And that’s not all, working for Pavers comes with so much more to enjoy: Free onsite parking at York Head Office Death In Service Benefit Holiday Entitlement (Increases with service) Company Contribution Pension Access to RetailTRUST (Wellbeing & Financial Support) Access to the Pavers Foundation: employee-led grant application and charitable giving scheme Access to wider training and development opportunities through Pavers Academy Want to see a snapshot of your duties? Posting cash and trading journals into the ledger Preparation of daily and weekly cash flow reporting Bank and Payment administration Management of Transactional finance activities including:Purchase ledger processing Sales ledger processing Daily/Weekly/Monthly bank reconciliations Monthly expense claims Monthly credit card statements reconciliation Assisting in the preparation and submission of VAT returns Assist with the annual audit and preparation of statutory accounts You will also assist the Management Accountant from time to time, with: Preparation of Monthly Management Accounts Accruals & Prepayments Monthly Balance sheet reconciliations Budget preparation Here’s what we are looking for to be our Financial Accountant: CIMA or ACCA qualified (Part qualified considered)(Essential) MS Excel Advanced user (Essential) Highly Analytical (Essential) High attention to detail when maintaining accurate and detailed financial records (Essential) Commercial experience in group structure surroundings (Essential) Sage 200 experience (Desirable) Experience of leading a team including developing and mentoring more junior colleagues (Desirable)