Provides vital support to the Financial Controller in the preparation and administration of timely and accurate accounts data.
You will assist with the preparation of the monthly management and financial accounts for multi site outlets, managing tight cash controls and accurate reconciliations.
Responsibility for revenue accounting, investigating and resolving variances, monthly reviews of debtors/creditor's reconciliations and management of aged debtors.
Posting and reconciling direct debit and credit card receipts, bank accounts and company credit cards management ,payroll, VAT ,reconciling supplier statements, fixed assets, control accounts and assistance with balance sheet reconciliations.
Required Knowledge, Skills, and Abilities
We are looking for will be an AAT studier or qualified by experience.
An out going, get things done approach with good communication skills and a desire to get involved.
The business is led and driven by some of the industries leaders and has real growth plans
for the future.
You will need to be enthusiastic and rise to the challenge of working in an entrepreneurial environment.
A well organized individual who prioritizes and manages their time well, exceeds expectation with a range of accounting projects.
(Good Excel skills, Xero experience useful) - this role is currently office based.