- Monthly reporting of the business results.
- Liaising with external auditors to ensure completion of statutory accounts.
- Loading of the budget into Hyperion / Oracle
- Management and reconciliation of the group’s intercompany balances
- Cash & treasury management
- Preparation and review of monthly lease accounting entries
- Preparation and review of monthly reconciliations
- Capex tracking and fixed asset registers
- Management of company credit cards
- Preparation and posting of period end journals
- Actively contributing to group projects
- Qualified Accountant (ACA, ACCA or CIMA)
- Accustomed to working in large, complex organisations
- Strong inter-personal and organisational skills
- Proficient in Excel