Due to an increase in demand, this business is looking for somebody to join the existing team based at the Head Office, reporting to the Financial Controller. Duties include:-
Supporting with monthly management accounts process
Bank reconciliation
Journal posting
Trial balance review
Accruals & prepayments
Statement reconciliation
Payment run preparation, review and reconciliation
Cash reconciliation
General ledger reconciliations
Producing reports
Required Knowledge, Skills, and Abilities
Experience in an Assistant Accountant role desirable Confident reconciling large datasets on Excel CIMA/ACCA studier desirable