Jenny MacDonald

Management Accountant at Brital Foods Ltd
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Contact Information
us****@****om
(386) 825-5501
Location
UK

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Experience

    • United Kingdom
    • Food and Beverage Services
    • 1 - 100 Employee
    • Management Accountant
      • Sep 2018 - Present

      Sole responsibility of all aspects of the accounts department, including delivery of monthly management accounts, balance sheet reconciliations and management of annual external audits. Sole responsibility of all aspects of the accounts department, including delivery of monthly management accounts, balance sheet reconciliations and management of annual external audits.

    • United States
    • Food and Beverage Manufacturing
    • 700 & Above Employee
    • Management Accountant - ADM International Sarl Erith
      • Oct 2015 - Sep 2018

      Successfully took on the role of the Refinery business when UK knowledge was lost. This required a challenging, committed and organisational approach to enable deadlines were met. Responsible for completion of monthly management accounts. Analysis of actual versus forecast. Compilation and review of monthly balance sheet reconciliations. Bought to Market risk reporting. FX currency reporting. Monthly stock valuations, accruals and prepayment preperation. Production of various internal and external month end and quarterly reports. Liasing with audit teams, commerical managers and the Swiss and US reporting teams

    • Managment Accountant - Olenex CV and Olenex Trading UK Limited
      • Jul 2014 - Oct 2015

      Multi currency bank reconcilations. Liase with colleagues from various locations around Europe and agree intercompany balances. Assist with statutory accounts and other head office reporting. Production of detailed VAT report and intrastat submissions for differenct countries

    • Managment Accountant - ADM International Sarl Pura
      • Apr 2011 - Jul 2014

      Check daily contracts traded, ensuring duty, price and delivery terms are correct. Review and post monthly freight and duty cost accruals/prepayments. Reconcile the monthly commodity position, investigating and resolving any differences. Ensuring that all SOX documentation was up to date. Key member in a project to reduce month reporting from 8 days to 6 days. Successfully undertook Coach to Win - Leadership course

    • Senior Financial Accountant - UK Oilseeds Division
      • Feb 2009 - Apr 2011

      Successfully managed a team of 3 accounts assistants for Financial Reporting. Key member involved in implementing JDE, ICSS and Business Objects for the UK Oilseeds business. Restructured the job roles in order to increase team motivation and job enrichment. Introduced a job rotation programme to increase flexibility

    • Financial Accountant - Pura Foods Limited
      • Sep 2008 - Feb 2009

      Currency bank reconciliations and allocations of monies. Statutory and Tax Reporting. Preparing and dealing with audits

    • Accounts Assistant - Pura Foods Limited
      • Sep 2004 - Sep 2008

      Treasury reporting. Foreign payments. Employee expense processing and payments

    • United Kingdom
    • Non-profit Organizations
    • 700 & Above Employee
    • Cash Management Assistant
      • Feb 2004 - Sep 2004

  • Woolwich Plc
    • Bexleyheath
    • Reconciliations Clerk
      • Apr 2003 - Feb 2004

    • United Kingdom
    • Pharmaceutical Manufacturing
    • 700 & Above Employee
    • Purchase Analyst
      • Jan 2000 - Jan 2003

Education

  • Bexley College, Erith, Kent
    AAT NVQ Level 4, Accounting
  • St Catherines School, Bexleyheath, Kent

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