Holiday Extras is seeking a Management Accountant for a 12-month fixed-term contract to take ownership of a key area within our management accounts. You will deliver accurate and timely financial information to support business reporting, decision-making and month-end close. This is an on-site role based at our campus in Newingreen, Kent, with the position located in Hythe, Kent. You will lead the preparation of monthly management accounts, including journals, accruals and prepayments; own key balance sheet reconciliations, investigate discrepancies, and analyse P&L variances with clear commentary for finance and non-finance audiences. You will manage your workload through the month-end cycle, maintain working papers for audit, and contribute to statutory reporting and audit preparation. The role supports UK & Europe operations, including foreign currency transactions. The ideal candidate will have proven experience in management accounting, strong P&L and balance sheet knowledge, experience managing a full month-end close, proficiency with financial systems (Google Sheets/Excel; NetSuite desirable), and a professional accounting qualification such as CIMA or ACCA. Excellent communication, commercial awareness and a proactive approach to improving month-end processes are essential. Travel within the UK & Europe is not required but beneficial. Our culture values inclusivity and flexibility, and while the role is office-based, we encourage applicants with diverse working preferences to apply. Closing date: Sunday 18 October.
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Holiday Extras is seeking a Management Accountant for a 12-month fixed-term contract to take ownership of a key area within our management accounts. You will deliver accurate and timely financial information to support business reporting, decision-making and month-end close. This is an on-site role based at our campus in Newingreen, Kent, with the position located in Hythe, Kent. You will lead the preparation of monthly management accounts, including journals, accruals and prepayments; own key balance sheet reconciliations, investigate discrepancies, and analyse P&L variances with clear commentary for finance and non-finance audiences. You will manage your workload through the month-end cycle, maintain working papers for audit, and contribute to statutory reporting and audit preparation. The role supports UK & Europe operations, including foreign currency transactions. The ideal candidate will have proven experience in management accounting, strong P&L and balance sheet knowledge, experience managing a full month-end close, proficiency with financial systems (Google Sheets/Excel; NetSuite desirable), and a professional accounting qualification such as CIMA or ACCA. Excellent communication, commercial awareness and a proactive approach to improving month-end processes are essential. Travel within the UK & Europe is not required but beneficial. Our culture values inclusivity and flexibility, and while the role is office-based, we encourage applicants with diverse working preferences to apply. Closing date: Sunday 18 October.
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