A leading investment management firm is looking to hire a Financial Accountant to join its London finance team on a hybrid working basis. This is an excellent opportunity for a part-qualified accountant who wants broad exposure across financial reporting, treasury, month-end, FP&A support, and statutory reporting within a high-performing and professional environment.
The Role You will play a key role in a busy finance function, supporting UK financial reporting, cash and treasury processes, revenue work, and controls improvement. The role offers real breadth, strong stakeholder exposure, and the chance to build your career in a fast-paced investment management setting. Key responsibilities include
Supporting month-end close, reconciliations, accruals, prepayments, and journal postings
Preparing treasury and cash flow reporting across multiple entities and international offices
Assisting with revenue, invoicing, and management fee analysis
Supporting accounts payable controls and payment run reporting
Contributing to budgeting, reporting, and regulatory/statistical submissions
Helping improve processes, controls, and automation across finance.
What we’re looking for
Part-qualified accountant: ACCA / ACA / CIMA or equivalent
Around 2-4 years’ experience in accounting, corporate finance, or a similar role
Strong month-end, reconciliation, and cash management experience
Confident Excel user with exposure to ERP systems
Strong attention to detail, excellent communication skills, and a proactive mind-set
A genuine interest in working in investment management and developing a broad finance career
This is a superb opportunity for an ambitious accountant who wants more variety, more responsibility, and the chance to join a respected investment management business which also offers career opportunity .
Please note: visa sponsorship is not available for this role.