Support for the purchase ledger and payment processing Support around credit cards, expense claims, and the expense system Help with month-end reconciliations, including fixed assets Assist with month-end bank reconciliations and accruals Handle queries on a day-to-day basis Minimum Requirements:
Part-Qualified Accountant Proven ability to complete at least one month-end and year-end cycle Excellent working knowledge of purchase ledger and bank reconciliations
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