Producing and maintaining financial and monthly management accounts
Complete the month end process, to include profit and loss account, balance sheet, cash flow statements, capital expenditure, variance reporting, dashboards and etc.
Ensuring compliance with financial reporting standards and statutory and regulatory requirements
Ensure all internal controls, policies and procedures are up to date and in accordance with accounting standards and best practice
Authorizing transactions within delegated limits of authority
Cash management including accurate cash reporting, cash forecasting and banking money
Assisting General Manager with annual company budgets
Overall responsibility for credit control to ensure customers payment are received on time
Prepare annual, monthly and quarterly Company regulatory requirements
Prepare wage calculations for payroll
Producing year end statutory accounts for auditors including liaison with external auditors and providing responses to audit queries
Process cost of sales purchase through a purchase order driven administration system
Pay suppliers promptly and in accordance with their terms
Required Knowledge, Skills, and Abilities
Working knowledge of Microsoft Office is essential
Experience of working with Sage50
Excellent numeracy and bookkeeping skills
Accounting or Bookkeeping qualification (or similar) preferred