Preparation of monthly management accounts and reporting pack, including variance analysis and balance sheet reconciliations
Be a point of contact and provide day to day finance support to the business
Embrace and implement process improvement for the finances of this entity
Support the Financial Controller and other members of the Finance team with:
HMRC returns (VAT, Corporation Tax, P11ds etc)
External Audit
Banking and Treasury Management
Board reports
Preparation of Bank and Balance Sheet Reconciliations
Maintenance of Fixed Assets and calculation of Depreciation
Assist with Credit Control including review of Aged Debt and Cash Flow Reporting
Support Payroll with processing, controls and transacting payments
Purchase ledger invoice processing and payments as support for accounts payable team
Required Knowledge, Skills, and Abilities
Self-starter comfortable working under own direction and within the team Analytical, able to interrogate data and provide insight using Excel/other tools Experience of accounts preparation and HMRC returns Good communication skills and ability to engage/support non-finance colleagues Qualifications and Education Requirements: Minimum AAT qualified, preferably part-qualified in CIMA/ACCA Minimum 3-5 years’ experience within a finance role Excellent understanding of accounting principles and techniques Experienced using SAGE or other comparable accounting software Strong MS Office skills / advanced excel skills