Duties:
Produce monthly management accounts and variance analysis in a timely and accurate manner. Maintain the balance sheets through monthly reconciliation. Prepare VAT returns and submit. Preparation of Monthly Management Accounts and schedules. Variance analysis of the above management accounts. Bank Reconciliations daily. Review and post the company credit cards. Upload and issue sales invoices daily. Intercompany recharges & reconciliations.
The role will be on a Fixed Term Contract for 8 months. #J-18808-Ljbffr