Producing balance sheet reconciliations and journal posting
Carrying out day-to-day cash management
Income reporting and reconciliation
Preparing monthly management accounts
Liaising with other stakeholders of the organization
Supporting the year-end reporting processes
Required Knowledge, Skills, and Abilities
Studying towards ACCA or CIMA, or AAT qualified with experience of working within a structured finance team.
Experience and understanding of a general ledger, double entry, finance processes and procedures, financial and management reporting, purchase and receivables ledger processes.
Excellent communication (written and verbal) and active listening skills with the ability to articulate financial information accurately and succinctly.
Proficient accuracy and attention to detail, with high level