Provide cover for AP assistant during peak periods / holidays
Support with multi-currency treasury management
Cash entry, allocation and analysis
Weekly cash reporting
Handling bank postings and reconciliations at month end
Supporting with month-end procedures including journals, accruals, prepayments
Acting as point of contact for any supplier queries
Handling supplier statement reconciliations
Participate in the year end audit
Assisting in process improvements
Reconciliation of several balance sheet accounts
Supporting ad-hoc Finance projects
Required Knowledge, Skills, and Abilities
The successful candidate will have a proven track record in a similar role and will have experience of using Netsuite. An accountancy qualification is not essential but is beneficial.