Toyota Financial Services, KINTO and KINTO JOIN

Management Accountant

🇬🇧 Portsmouth, United Kingdom Hybrid Finance, Legal & Compliance Full time Posted May 11, 2026
Workplace Hybrid
Employment Full time
Language English
Posted May 11, 2026
Last verified May 29, 2026
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Role summary by JobGrid

Management Accountant at Toyota Financial Services, KINTO and KINTO JOIN: Portsmouth, United Kingdom; Hybrid; Full time; Finance, Legal & Compliance. JobGrid adds normalized role facts, source context, and a path to the employer application page so candidates can compare the listing before applying.

  • Location and workplace: Portsmouth, United Kingdom, Hybrid
  • Role classification: Finance, Legal & Compliance, Full time
  • Source freshness: checked by JobGrid on 2026-05-29.
  • Application path: candidates continue to the employer application page with non-personal referral tags.

This role will be working for KINTO UK, a mobility brand owned by the Toyota Group.

The role in a nutshell: The Management Accountant is responsible for the accurate and timely production of management accounts, balance sheet integrity, and robust financial control across the business.

A bit about the Finance Department: The Management Accounts team sits at the core of the Finance function, underpinning financial governance, performance insight, and effective decision‑making. The team is responsible for maintaining balance sheet integrity, overseeing strong internal controls, and ensuring that financial information is accurate, timely, and reliable.

What you'll be doing:

  • Leading the preparation, review, and delivery of monthly management accounts, ensuring accuracy, completeness, and adherence to reporting timetables
  • Providing oversight of balance sheet reconciliations, ensuring all balances are fully supported and issues are investigated and resolved promptly
  • Reviewing and challenging financial transactions to ensure compliance with accounting standards, policies, and internal controls
  • Supporting the Management Accounts Manager with financial analysis, commentary, and insight for senior stakeholders
  • Acting as a key Finance contact for internal stakeholders, providing clear explanations and trusted financial support
  • Supporting treasury‑related activities where required, including cash‑related reconciliations and working capital considerations
  • Maintaining strong audit trails and supporting internal and external audit requirements
  • Proactively identifying opportunities to improve processes, controls, and efficiency across the Management Accounts function