Finance Apprentice
- Employer
- Colliers International EMEA
- Location
- London London, Greater London UK, United Kingdom
- Salary
- Competitive Salary
- Closing date
- Feb 2, 2021
View more
- Job Role
- Finance Apprentice
- Sector
- Finance
- Contract Type
- Apprenticeship
- Hours
- Full Time
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The UK Finance Team includes a diverse and sociable group of individuals who form the functions of Financial and Management Accounts, FP&A, Payroll, Accounts Receivable and Accounts Payable.
The primary focus of this role is to ensure accurate accounting through the application of department process and procedures. You will provide support to the Management Accounts and Accounts Payable team whilst learning on the job and working towards AAT level 4 qualification.
Key
Responsibilities:
* Ensure accurate reporting through the application of department processes and procedures.
* Support Financial and Management Accounts and Accounts Payable Teams.
* Ensure prompt and accurate month end reporting
* Production of Balance Sheet reconciliations within agreed timetables to ensure SOX compliance
* Production of ad hoc reports and analysis based on business requirements
* Respond to ad hoc queries
* Ensure regular timely invoicing of intercompany recharges
* Ensure regular maintenance of intercompany reconciliations
* Continuous review of processes, systems and reporting to identify improvements
* Any other tasks that may be reasonably required
The primary focus of this role is to ensure accurate accounting through the application of department process and procedures. You will provide support to the Management Accounts and Accounts Payable team whilst learning on the job and working towards AAT level 4 qualification.
Key
Responsibilities:
* Ensure accurate reporting through the application of department processes and procedures.
* Support Financial and Management Accounts and Accounts Payable Teams.
* Ensure prompt and accurate month end reporting
* Production of Balance Sheet reconciliations within agreed timetables to ensure SOX compliance
* Production of ad hoc reports and analysis based on business requirements
* Respond to ad hoc queries
* Ensure regular timely invoicing of intercompany recharges
* Ensure regular maintenance of intercompany reconciliations
* Continuous review of processes, systems and reporting to identify improvements
* Any other tasks that may be reasonably required
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