Key Tasks:
- Preparation and processing of accounting journals and associated analysis
- Preparation of robust balance sheet reconciliations and supporting analysis in line with IFRS.
- Assist in the preparation of month end management accounts and other business performance reporting
- Cash management, including bank reconciliations, cash posting and cash flow forecasts
- Processing and payment of supplier invoices within agreed terms
- Production of analysis to support VAT and other tax returns
- Ensure business compliance with implemented financial control processes and policies
- Support the Group Financial Controller and wider finance team in the day to day financial management of the business.
Reference no: 31220
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