- Assisting in preparing and reconciling monthly accounts, including self-billing, payroll postings, fixed assets, and bank reconciliations.
- Maintaining cashbooks and handling bank payments, credit cards, foreign currency expenses, and UK expenses efficiently.
- Monitoring overdue debts, ensuring timely clearance for payment and maintaining accurate balance sheet reconciliations.
- Collaborating on management account preparation and providing support during annual audits and variance analysis.
- Supporting financial projects and ad hoc tasks, contributing to process improvements under the guidance of the Financial Controller.
- Previous experience in a similar accounting role
- Advanced IT skills, particularly advanced Excel, Sage, Outlook, Word, and Access
- Enhanced pension contributions
- 25 days holiday plus bank holidays
- Option to purchase up to 5 additional days
- Health cash plan