Financial Accountant
HybridBirmingham, England, United Kingdom
Job Summary
Financial Accountant to support the Head of Financial Accounting & Tax and provide assurance for statutory responsibilities and stewardship of public funds. Key duties include preparing reliable cash flow forecasts for investments and borrowings, conducting treasury management activities (including daily trading and drafting monthly Treasury Reports and the annual Treasury Management documentation), preparing and reviewing VAT returns for tax compliance, completing Capital Outturn activities and year-end journals, and IFRS16 adjustments. The role requires strong analytical skills, excellent attention to detail, and good organisational abilities, with wide-ranging experience in capital accounting and treasury management. The position is full-time, hybrid with 60% on-site at core hours 08:00–16:00, Monday to Friday, in Birmingham, West Midlands, United Kingdom. Vetting and security checks apply; interviews planned for week of 6 July 2026. Prospect benefits include pension, annual leave, and wellbeing packages.