Job Description
Your role is an integral part of the overall business and will require a great deal of attention to detail, excellent time management and the ability to work individually and as part of a team.
Supporting the VP of Finance and Group Management Accountant, you will cover the following responsibilities:
- Accurate and timely posting of Accounts Payable invoices, multi-currency/multi-subsidiaries, ensuring a tidy purchase ledger
- Reconciling supplier statements and dealing with supplier queries
- Process employee expense claims and company credit cards
- Reconciling multicurrency bank accounts, proactively dealing with any reconciling items
- Assist with month end accounts preparation, including posting of capex, prepayments and accruals and maintaining the related schedules
- Preparation of Balance Sheet reconciliations, proactively dealing with any reconciling items
- Prepare variance analysis for actual spend vs budget/re-forecast
- Assisting in the audit process, including the preparation and compilation of audit documentation, controls testing and liaising with the auditors
- Complete other ad-hoc accounting duties, tasks, projects, and financial analysis to support management
Benefits
- 25 days annual leave, increasing to 26 after your first year in the business
- Contributory pension scheme
- £2,000 employee referral scheme
- Egress perks portal and retail discount scheme