Working closely with the Management Accounts team and wider operational staff, you will be responsible for providing key data required for client statements. Key responsibilities include:
Processing transactions via the organisations rent accounting system
Preparing large client statements on Excel
Identifying areas to streamline processes
Required Knowledge, Skills, and Abilities
We are looking for an experienced part-qualified or qualified by experience finance individual. Extensive reconciliations experience and a strong understanding of double entry bookkeeping is paramount for this role. You will have outstanding communication and organisational skills, with the ability to prioritise and manage competing deadlines. It is essential that you are a proficient user of Excel with significant experience of using a rent accounting system.