Job Description
The role will be predominantly assisting the Financial Accountant (Maternity Cover) in various areas including accurately reporting and reconciling of all bank accounts through regular reviews and controls. Ensure all necessary banking and cash control reconciliations are completed. Ensure all necessary returns and payments are made in respect of the various taxes and duties.
- Reporting of weekly and monthly cash positions.
- Review cash availability as necessary throughout the month with the Financial Accountant, recommend and initiate any transfers required to maintain the appropriate balance.
- Revalue foreign bank accounts monthly and set new rates in Sage.
- Maintain employee healthcare records and produce annual P11ds.
- Complete the analysis to then be reported.
- Production of accurate and comprehensive reports.
- Meet reporting and payment deadlines at all times.
- Assist in the preparation of cash flow forecasts.
- Support the Financial Accountant during year-end statutory audit.
- Any other Adhoc duties