Job Description
This is a hybrid working role with two to three days in the office. You will be responsible for the following:
- Full management and control of the month end process and reporting
- Preparing and analyzing cost by department with budget holders
- Balance sheet reconciliations completed and actioned
- Yearend preparation and audit
- Oversight of all tax compliance
- Weekly sale uploads
- Managing petty cash and company credit cards
What's on Offer
- Annual Bonus
- Full study support
- Excellent benefits
- Hybrid working