The role will be responsible for supporting the Finance Director with management accounting processes and administration, as well as financial planning and analysis
Be responsible for the general bookkeeping activity, bank reconciliations etc.
Managing the sales and purchase ledgers to include the processing of invoices, credit control, payment of suppliers and other ad-hoc tasks
Prepare month-end journals and accounts
Budgeting and forecasting
Leading the analysis of monthly results and presenting these to the Finance Director
Assisting the Finance Director with external financial reporting to Capital providers
Assisting with the external audit
Drive the continuous improvement of end-to-end accounting practices and internal controls
Interacting with the outsourced teams responsible for payroll, VAT and HMRC processes
Required Knowledge, Skills, and Abilities
Strong technical accounting knowledge
Fully qualified (ACA, ACCA, CIMA, AAT) with one to three years PQE
Previous experience working in a similar role (including Excel and basic modelling, accounts preparation, production of budgets)
Preferable: Experience with Xero accounting software, multi-national accounts preparation, experience