Monthly management account preparations, reviews and reconciliations
Journal posting
Trial balance review
Accrual review where required
Statement reconciliation
Payment run preparation, review and reconciliation
Miscellaneous purchasing (credit card payments)
Cash posting
Unallocated cash resolution
Cash reconciliation
Additional benefits and information:
Free parking
Required Knowledge, Skills, and Abilities
Varied finance experience with both transactional and month end exposure AAT Qualified or qualified by experience Strong interpersonal skills Ability to lead a small team in absence of the Finance Manager