- Oversee timely and accurate processing of accounts payable and receivable.
- Manage periodic bank reconciliations and cash flow monitoring.
- Maintain and develop our chart of accounts and accounting filing systems.
- Handle intercompany reconciliations and monthly reporting to our parent company.
- Ensure compliance with all tax and regulatory filings (VAT, PAYE, OfS, etc.).
- Support the development and management of finance systems for efficiency.
- Assist in preparing accurate monthly management accounts.
- Compile financial metrics and regulatory returns
- Support external and internal audit processes and ensure compliance with relevant policies.
- Collaborate with the Financial Controller to prepare reports for executives, stakeholders, and the board.
- Contribute to fostering a positive and supportive team culture across professional and academic departments.
- A Qualified or Part Qualified ACCA/ ACA/ACMA
- A background in accounting practice, with experience in financial accounting and a demonstrable background from double entry bookkeeping / accounts up to monthly management reporting.
- Strong understanding of accounting principles, regulatory requirements, and audit processes. Knowledge of SORP Accounting Principles an advantage
- Excellent attention to detail and organizational skills.
- A proactive mindset with a passion for improving processes and systems.