Job Description
- To ensure the timely posting of accounts in line with agreed timescales
- To produce the monthly management accounts for review
- To reconcile nominal ledger accounts to ensure accuracy and identify and investigate any discrepancies
- To help reconcile contract accounts to ensure accuracy and identify and reconcile any discrepancies
- To assist with any system / software implementations for the Finance team
We offer an excellent benefits package:
- Competitive salaries
- Health cash plan with Healthshield
- Standard Life Pension Scheme
- Life Assurance Scheme
- Employee Discount Scheme
- Training and development opportunities
- Employee recognition schemes