The main purpose of the role is to support the Finance Director on financial matters relating to the business. Duties will include, but not limited to:
Bank reconciliations & petty cash posting
Prepare control reconciliations, investigate and resolve queries
Prepare and process journals, prepayments and fixed assets
Prepare VAT returns
Credit card posting
Daily cash allocating
Production of month-end reports
Posting of Online, Amazon and Ebay
Invoice financing reporting
Processing of BACS payments
Ad hoc accounts team tasks
Required Knowledge, Skills, and Abilities
Previous experience of using Sage 50 is essential You must be computer literate with strong Microsoft Excel skills (including Vlookup’s and pivot tables) Ability to compile, analyse and review data to a high level of accuracy is required High level of attention to detail is essential You will have a friendly and tactful personality and like working as part of a small team Excellent written and verbal skills are essential