Update reconciliation and chase suppliers for any missing VAT invoices
Prepare prepayments schedule and journal for month-end
Intercompany accounting
Agreeing intercompany balances and resolving errors
Uploading TBs on to the finance system
Account reconciliations
Financial analysis
Assisting with other areas of finance as required
Required Knowledge, Skills, and Abilities
High levels attention to detail Strong interpersonal skills, with the ability to communicate across all levels of the business. Experience working within a fast-paced accounts environment AAT qualified, part or fully qualified CIMA/ACCA Have previous experience working in a fast-paced environment and meeting tight deadlines Strong systems and Excel skills