Job Description
This role has hybrid working. (2 days in the office, 3 days flexible)
Responsibilities;
- Supporting the preparation of monthly and quarterly management accounts
- Preparation of monthly P&L reports
- Reconcile and analysing balance sheet accounts
- Maintaining the fixed-asset register
- Bank account reconciliations
- Monthly and Quarterly VAT preparation
- Supporting Financial Controller audit preparation
- Liaising directly with auditors
Requirements;
- French Speaker
- Part-qualified and actively studying towards ACA/ACCA/CIMA
- 2+ years of experience producing management accounts
- International experience with multiple currencies
- Microsoft Excel experience, with good working knowledge of advanced formulas and PIVOT tables