- Supporting Head of Finance and Finance Manager along with occasional supervision of the transactional team.
- An expanding business at the forefront of their market in terms of development and growth.
- A forward-thinking, modern organisation in a great office location.
- Preparation of monthly balance sheet reconciliations.
- Ensuring that accounting records for fixed assets, general accruals and prepayments are correctly reconciled.
- Preparation of the month end reconciliations.
- Liaising with AP team to generate weekly payments.
- Ensuring that payments are processed on times.
- Preparation of cash flow forecast.
- Processing of the payroll journal.
- Monthly VAT returns.
- Part-Qualified or Finalist CIMA, ACCA, ACA.
- Strong Excel skills.
- Ability to work well within a team.
- Be a proactive individual.
- Have high attention to detail.
- Ability to work to tight deadlines.
- £5,000 performance related bonus.
- Competitive salary.
- Great benefits package.
- Flexible working offered.