Duties & Responsibilities:
-Production of timely and accurate monthly management accounts for relevant Group companies
-Maintenance of accurate ledgers, including revenue reviews and reporting, posting of month end journals, reviews of P&Ls and balance sheet nominal account reconciliations
-Manage the cash collection process for relevant Group companies
-Production and submission of VAT returns and of the VAT related returns for Ireland
-Support the financial integration of Group's acquired UK businesses
-Adherence to and improvement of financial operational controls
-Provision of monthly and ad-hoc management information
-Involvement in new business projects
-Support the preparation of year end files for auditors and the annual audit process
The successful candidate will need to be able to demonstrate the following skills and experiences:
-Support the preparation of year end files for auditors and the annual audit process
-Advanced Excel skills using functions such as vlookup, sumif, pivot tables
-Confidence to challenge existing practice and to develop and articulate solutions
-Ability to assimilate new skills quickly and work with a high level of autonomy
-Strong presentation skills and the ability to explain financial concepts to both financial and non-financial colleagues
Reference no: 5703
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