Drafting monthly management accounts, including balance sheet and cash flow statement to commentary level, including period-end key account reconciliations and comparison of actual results to budget or forecast;
Assisting with the preparation of annual statutory accounts and supporting schedules as well as periodic investor reports;
Preparation of monthly and annual payroll.
Required Knowledge, Skills, and Abilities
Bookkeeping experience, ideally including performing account reconciliations;
Annual audits;
Some administrative and company secretarial exposure would be of benefit;
Strong Microsoft skills, particularly Excel (use of advance formulae and pivot tables would be ideal), Word and PowerPoint.
Strong work ethic with a demonstrable “can do” attitude;
Detailed and thorough;
Completer-finisher;
Excellent communication skills;
A team player.
Excellent working environment;
Flexible working;
An ideal opportunity to join a dynamic organization.