Some of your duties will include:
- Ensuring the smooth day to day management of the sales, purchase and nominal ledger function
- Managing the credit control function and chasing overdue client payments
- Preparing cash book records, reconciling bank statements on weekly basis and investigating anomalies
- Producing monthly management accounts and variance to budget analysis reports
- Assisting Accountant with reconciling accounts at month-end and preparing profit and loss reports
- Producing a wide range of adhoc financial reports and forecasts for the Directors as needed
Reference no: 19950
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