- Reporting to the Finance Manager / Finance Controller
- Bank postings, matching and bank reconciliations.
- Company staff credit card analysis, including collecting in receipts as per the monthly statement, recording transactions, preparing and posting the monthly journal.
- Raising inter-company invoices on a monthly/quarterly basis.
- Renewing road fund licences for our fleet of vehicles.
- Checks on customer VAT numbers.
- Various checks in relation to stock imports and movements.
- Collating data in relation to company carbon emissions.
- Liaising with other teams on various finance related queries, ensuring smooth communication and teamwork.
- High attention to detail, with both numeracy and literacy.
- AAT qualified / or working towards / similar level by work experience.
- Highly competent in Excel and using large data sets.
- Free Parking
- Flexible start/ finish time between 7.30am – 9.30 am – 15.30pm – 17.30 pm
- Summer/ winter socials
- Monthly ‘payday’ lunch/ treats