Perform monthly, quarterly, and annual close activities
Support annual audits and other local financial compliance
Perform reconciliations of applicable accounts
Perform and review Balance Sheet
Ad hoc finance projects, including external audit requests, expense reporting, and tax matters
Build and maintain best-in-class processes; help streamline month-close process via automation, identifying efficiencies and standardization
Work cross-functionally with Finance, Legal and Operations to drive important initiatives and improvements, including automation of accounting entries and processes as part of system upgrades
Maintain the Purchase Ledger, including invoice posting, reconciling statements, and making payments to suppliers
Manage payroll accounting
Work with the product team for new initiatives to ensure appropriate finance operation, compliance, and accounting consideration
Required Knowledge, Skills, and Abilities
Qualified ACA or ACCA
Advanced Microsoft Excel skills
Five years of experience in Finance and Controlling functions in the UK