As a Reconciliations Accountant, you will be reporting to the Finance Manager, responsible for the preparation of management accounts and supporting with the month end process. Duties will include but are not limited to:
Analyze and interpret key financial information to support the accurate and timely production of the Balance Sheet reconciliations, taking action to resolve queries by dealing with appropriate stakeholders.
· Develop a thorough understanding of the business processes impacting the Balance sheet reconciliations to recommend process improvements or enhanced controls.
· Implement or enhance internal controls to ensure process and financial risks are mitigated.
· Contribute to projects to deliver continuous improvement in the delivery of financial operations.
· Utilize financial and accounting understanding to propose and implement process and performance improvements.
· Support the team with additional tasks and ad hoc queries.
What's on Offer
Competitive salary
Reference no: 30913
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