You will support the day to day functions of the accounts department from the sales and purchase ledgers to overseeing the daily cash postings and bank reconciliations.
The role will include preparing many month end balance sheet reconciliations across all three franchises.
You will work closely with and assist the Accountant and Management team in other ad-hoc duties where required.
Required Knowledge, Skills, and Abilities
Previous experience and a good working knowledge of all accounting routines, including balance sheet reconciliations are essential.
Knowledge the Management system and Microsoft Office is not essential but would be advantageous.
Ideally, you will be enthusiastic, well organized, diligent, and able to work to strict deadlines whilst paying attention to detail and working both as an individual and as part of a small team.