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Junior Accountant EMEA

Jimmy Choo

London

Hybrid

GBP 30,000 - 50,000

Full time

10 days ago

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Job summary

An established industry player is seeking a Junior Accountant to join their dynamic finance team in London. This hybrid role involves managing accounts payable and receivable, supporting month-end and year-end closing processes, and ensuring compliance with accounting standards. The ideal candidate will bring at least a year of experience in the Retail Finance sector, possess strong analytical and problem-solving skills, and demonstrate proficiency in Excel. This is a fantastic opportunity to grow your career in a vibrant environment that values teamwork and continuous improvement.

Qualifications

  • At least 1 year of experience in the Retail Finance industry.
  • Strong analytical skills and attention to detail.

Responsibilities

  • Manage accounts payable and receivable processes.
  • Assist with month-end and year-end closing processes.
  • Collaborate with teams to ensure financial controls.

Skills

Problem-solving skills
Time management skills
Analytical skills
Excel skills (Pivot tables, VLOOKUP, XLOOKUP, INDEX MATCH)
Experience in Retail Finance
Team player

Education

Experience in Retail Finance

Tools

SAP
HP

Job description

Job Title: Junior Accountant EMEA

Reports to: Finance Manager EMEA

Location: London (Hybrid)

Accounts Payable
  • Run and review weekly vendors' Aged Credit reports
  • Support the External Accounting Service in resolving missing payments, debit balances and any discrepancies with suppliers
  • Manage vendor portal issues
Accounts Receivable/Treasury
  • Review EMEA cash accounts (Funds-In/Out, Credit Cards – Cash over/under) and support the General Ledger team in resolving discrepancies
  • Review the weekly EMEA cashbook and investigate any discrepancies
  • Review and approve monthly concession invoices
  • Review monthly concession reconciliation and investigate any discrepancies
  • Monitor monthly concession income and follow up with any missing payments
  • Review monthly Petty Cash
  • Review monthly MTO (Made to Order)
  • Managing Standing orders and Direct Debits
General Ledger
  • Assist with month-end and year-end closing processes, including journals and reconciliations
  • Review prepayments and accruals and prepare journals
  • Ensure that underlying accounting records are accurate and complete
  • Conduct detailed cost line analysis and resolve discrepancies
  • Review P&L Cost Accounts
  • Support general ledger functions, ensuring timely processing and reconciliation
  • Collaborate with cross-functional teams to ensure proper financial controls and adherence to company policies
  • Assist in financial reporting and analysis to support decision-making
  • Maintain accurate financial records and ensure compliance with IFRS/GAAP and internal policies
Commercial
  • Assisting in Forecasting & Budgeting as needed
Ad Hoc Admin Task
  • Check and manage incoming posts
Key Requirements
  • You have at least 1 year of experience in the Retail Finance industry
  • You are energetic, ambitious and intellectually curious - a team player who takes a hands-on approach
  • You possess strong problem-solving skills with a drive to improve processes
  • You have excellent time management skills
  • You demonstrate strong analytical skills and attention to detail
  • You have strong Excel skills, including Pivot tables, VLOOKUP, XLOOKUP, INDEX MATCH
  • Experience using SAP and HP is desirable
  • Familiarity with IFRS or GAAP accounting standards is required
  • Language skills in Spanish, French or German are desirable but not essential
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