Undertake month end accounting taskings including, accruals, prepayments, fixed assets, rebates, bad debts, loan interest and other month end journals and adjustments Support the preparation
Review and analysis of variances in the management accounts to ensure accurate reporting to management, the board and the bank
Preparation of the monthly Board Finance pack for review by Financial Controller / Finance Director Support the audit process
Prepare Month End summaries and reconciliations for Invoice Financing Facility dealing with all matters arising out of this
Gather required information for quarterly Invoice Financing Facility audits Assisting in the compilation of Quarterly VAT Returns
Assist in monitoring expenditure against budgets and communication with the team of any significant variances.
Ensure financial records are maintained in compliance with the Companys policies and procedures.
Essential Knowledge and experience of accounting practices and principles involving a an FMCG company and matters associated with Stock Valuation principles, Cut-Off processes etc. Experience in the use of financial accounting systems and budgetary setting processes financial reporting, financial data analysis. Excellent Microsoft Excel skills. Strong attention to detail and the ability to work to deadlines Desirable Suitable financial qualification e.g. ACA/CIMA/ACCA, Qualified, or part-qualified
Reference no: 94124
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