Accurately maintain and reconcile the group bank accounts each day, and report any issues with the management accountant in a timely manner
Take ownership of the credit card expenditure process within the group and ensure that the statements are reconciled in line with the management account deadlines
Post various journals across the group companies to assist the Management Accountants when they are preparing the month end management accounts
Required Knowledge, Skills, and Abilities
6 months + accounting experience
Easy commute to Chelmsford
AAT/ACCA/CIMA Studier
Reference no: 98575
Expired
9 Views
3 Applications
We use cookies to ensure you get the best experience on our website.