Job Description
- Assisting with preparation of management accounts through to trial balance for the contract(s).
- Variance analysis of contract results for the Management Board.
- Ownership and reconciliation of contract bank account; ensure operated within terms of contract
- Support contract quarterly forecasting process.
- Managing cash recovery from the client through monthly applications / third party invoicing, as well as any debt management when required.
- Supporting commercial team with completion of monthly CVR’s to ensuring a true position is understood.
- Support Commercial & Operational team to ensure there is full understanding and ownership of costs.
What will you receive?
You can expect a competitive salary and an outstanding package that includes a matched pension scheme up to 7.5%, 26 days’ annual leave + bank holidays (with the opportunity to buy or sell holiday) together with two employee Share Scheme options (Share save and Share Incentive Plan).