Nita Rajani
Senior Financial Accountant at Topps Tiles- Claim this Profile
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Bio
Credentials
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ACCA Qualified 2006
ACCA
Experience
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Topps Tiles
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United Kingdom
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Retail
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500 - 600 Employee
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Senior Financial Accountant
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May 2019 - Present
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iQor
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United States
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Outsourcing and Offshoring Consulting
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700 & Above Employee
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Management Accountant
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Apr 2014 - May 2019
I transferred from Jabil Circuit UK Ltd to iQor Global Services UK Ltd when Jabil sold its worldwide aftermarket division to iQor in 2014. Key Responsibilities Delivery of timely and accurate period end financial statements with full reporting to parent undertaking in the USA Direct report to European Regional Controller based in Amsterdam Supervising two accounts assistants based in European Shared Service Centre Preparation of statutory accounts Management of year end audits Preparation of annual budgets, and quarterly 12 month rolling forecasts Cash flow Forecasts/Cashbooks Stock reconciliations and material margin analysis Balance Sheet Reconciliations Preparation of Customer billing data/files for invoicing Inter company transactions management and reconciliations VAT returns Tax analysis Working Capital Management – managing debtors, creditors, loans
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Jabil
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United States
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Appliances, Electrical, and Electronics Manufacturing
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700 & Above Employee
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Management Accountant
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Aug 2011 - Mar 2014
Working as a Management Accountant for an American based group of companies, within the electronics industry. Working as a Management Accountant for an American based group of companies, within the electronics industry.
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John Laing
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United Kingdom
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Financial Services
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200 - 300 Employee
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Project Accountant
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May 2006 - Jul 2011
Working as a Project Accountant for John Laing construction company on one of its PFI initiatives with the NHS and Royal Bank of Scotland. Responsible for delivery of the monthly financials for two companies, as well as providing full commentary, variance analysis and reporting to a wide range of stakeholders including private investors, the bank and the NHS. Other responsibilities included: Ownership and delivery of cash flow forecasts Preparation of budgets Balance sheet reconciliations Presentation of financial statements and management reports to Board level Production of statutory accounts CIS returns & VAT returns Tax analysis Supporting the production of operational models Treasury Management – Managing loans, SWAPS Providing Ad-hoc analysis and reporting Working Capital Management – Managing debtors and creditors Supervising three finance clerks and accounting personnel
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Education
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Loughborough University
BSc Hons 2:1, Accounting & Financial Management