Summary:
You will work alongside the FC, supporting with the production of the monthly management accounts, weekly cash flow forecasting, other reporting and process requirements.
Responsibilities:
Update the weekly UK Cash Flow Monitor and Consolidated CFM reports
Update calculations and then process monthly accruals and prepayments
Maintain the fixed asset register and process monthly depreciation journals whilst preparing a monthly trial balance for an overseas sister company using Excel
Assist the FC in the preparation of both the monthly estimate and actual P&L Balance sheet account reconciliations, processing of currency and one-off payments through internet banking
Provide holiday cover for payroll processing and assist with payroll review before final submission and providing support during the annual external audit process
Required Knowledge, Skills, and Abilities
CIMA/ACCA or equivalent required Excellent knowledge of Microsoft Excel Payroll experience is very desirable ERP system experience would be desirable Experience of working within a finance/accounting function is essential Experience of financial reporting is essential Experience of multi-currency and consolidated reporting is desirable