Receive the knowledge of European accounting processes and bring to the UK, document processes and produce work instructions
Produce monthly financial accounts for relevant legal entities
Complete balance sheet reconciliations on a monthly basis
Manage fixed assets for Swiss entities
Produce monthly cash flow forecasts
Set up and maintain master data
Provide cover for other accountants and assist with cashbook, banking etc as required
Support manager with any ad-hoc reporting or projects as required.
Continuously improve processes and enhance the Finance Department's contribution to the company
Liaise with internal and external suppliers, banking institutions and government agencies
What you'll get in return
37 per week- Monday to Friday
Permanent opportunity with a brilliant and innovative business
Remote on-boarding moving into a hybrid working pattern (several days working from home and several in the office)
Required Knowledge, Skills, and Abilities
AAT or part qualified, working towards an accountancy qualification e.g CIMA, ACCA etc (Study support for a recognised accountancy qualification will be considered Previous experience in the preparation of month end accounts and management reporting is essential Excellent knowledge of Microsoft Office applications, advanced Excel skills (Pivot tables and VLookups) A continuous improvement mindset is required to improve processes and drive efficiencies A can do attitude and a willingness to take on other activities from time to time is necessary Good attention to detail