Reporting to the Financial Controller, the successful candidate will be responsible for the preparation of the group management accounts and reconciliation of supporting ledgers. Responsibilities will include, but are not limited to: Assisting with the preparation of the management accounts Monthly accruals and prepayments Balance sheet reconciliations Cash flow forecasting Finance business partnering with various functions Working closely with the FP&A team Preparation of the fixed asset register Cost/variance analysis For application and accessibility support, please contact your local Marks Sattin office.
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