The main duties of this role will include the development of balance sheet reporting, ensuring all balance sheet accounts are reconciled on a monthly basis and delivering the monthly balance sheet reports to the firm as part of the management accounts, to ensure the Group intercompany accounts are always reconciled, to calculate and raise management charge invoices between the Group and it's subsidiaries, to play an important role in the preparation of the Group Financial Accounts and support the rest of the Finance Team with related tasks.
Required Knowledge, Skills, and Abilities
The candidate will be ACA qualified and have trained and qualified within an audit firm.
The successful candidate must be able to demonstrate their commitment to self-development and show interest in learning from, and supporting, the team.