You’re Responsibilities will include but not exclusive to;
- Month end accounts, including Cash, sales and balance sheet reconciliations.
- Eventually pulling together board packs and a month end reporting suite.
- Bank, cashflow and payment processing.
- Management of stock valuations and integrity / cover.
- Supplier communications / terms management
- Vat Reconciliations / Tax.
Required Knowledge, Skills, and Abilities
- Newly Qualified or Part Qualified. - Strong working knowledge of Excel. - Ability to work in a fast- paced environment, whilst meeting tight deadlines. - Hard working, intention to go over and above, which will be rewarded! - Outgoing personality and willing to learn.
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