Assisting with the preparation of monthly board reports to Executive Management Team
Preparation of weekly reporting to senior management on Key Performance Indicators including sales rates, secured cash flows, build spend and programme dates
Maintenance of the Profit & Cash flow Forecast system
Supporting the preparation, analysis and communication of the annual budget & monthly management accounts
Preparation and posting of journals
Completing the bank reconciliations for all relevant bank accounts in a timely manner
Assisting with financial reporting obligations (e.g. VAT & CIS reporting)
Other ad hoc duties
Required Knowledge, Skills, and Abilities
Excellent communication skills Excellent excel skills Systems knowledge (desirable) 3 months experience (desirable) Able to commute to South West London