Support the Finance Manager in the maintenance of accounting ledgers
Liaise with accounting staff to resolve queries within the accounting period
Manage bank reconciliation for UK or EU entities
Support the Assistant accountant in the maintenance of fixed assets register
Prepayments
Support the Finance Manager in the maintenance of accounting ledgers
Liaise with accounting staff to resolve queries within the accounting period
The primary purpose of the role will be to support the day-to-day transactions within the accounts
Supporting the Finance Manager by completing assigned tasks during period close; completing assigned reconciliation of accounting schedules across the balance sheet; Managing the daily banking reconciliation for assigned entities, with additional responsibilities as required around quarter-end and ad-hoc schedules as directed.
The role will require interaction with other business units to question and clarify external transactions within the accounts, and onward explanations of variances to the Finance Manager for review.
Required Knowledge, Skills, and Abilities
Previous experience with multi-functional and multi-currency organizations
Experience in Bank reconciliations
Experience from Retail Stores / Hospitality business
Strong computer skills. Advanced Excel.
Ability to effectively prioritize and execute tasks in a fast-paced environment
Ability to meet deadlines
Ideally, you will be at the beginnings of studying for Professional Qualification (ACA / ACCA / CIMA)
Excellent verbal and written communication skills.
Attention to detail and ability to multi-task in a fast-paced environment
Self-Starting, conscientious and uses initiative
High degree of integrity with the ability to handle confidential and sometimes highly sensitive matters