Duties:
· Assisting in the production of monthly management accounts including profit & loss and balance sheets
· Produce monthly divisional income statements & provide stakeholders with narrative around variances
· Process journal entries on the general ledger where required
· Manage relationships with key internal stakeholders within Finance and Operations
· Assist in managing the purchase ledger across Group entities including approvals, payments, and reconciliations
· Completing bank account reconciliations
· Assisting in the preparation of detailed accruals & prepayments
· Monthly balance sheet reconciliations
· Ad hoc tasks when required
Experience Required:
· Proficiency in MS Office (Excel, Word)
· Previous accounting experience (ideally looking to work towards an accounting qualification)
· Good organisation and time management skills with the ability to multi-task
· Good written & verbal communication skills
· Excellent attention to detail
Reference no: 100955
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