This is a great opportunity to join a friendly, well-established finance team with a relaxed culture.This role can be office-based or a combination of home and office working.
The purpose of the role is to analyze financial data and produce management reports, which will directly support business leaders;
Review and verification of financial data, extracting information from the accounting system into Excel for analysis.
Monitoring charges and posting to correct nominal codes
Month-end journals and accruals
Assist in preparation of month-end accounts
Profit and loss balance sheet reconciliation
Producing financial management reports using MS Excel
Providing insights into financial performance and KPI reporting
Supporting non-financial budget holders to ensure they are able to interpret the financial information provided in the management accounts
In return, our client offers an excellent well-rounded benefits package including 30 days holiday, a competitive contributory pension scheme, and life assurance.
Required Knowledge, Skills, and Abilities
To be successful in his role you should have prior experience of; Month-end tasks including accruals and prepayments, financial analysis, and reporting. You must also be an effective communicator with the ability to communicate financial information to non-finance staff. Intermediate or, advanced Excel skills.