This role is office–based: 5 days a week on-site, 40 hours a week.
Key responsibilities: Assist in preparing monthly management accounts, including profit & loss statements, balance sheets, and cash flow statements. Conduct variance analysis, investigate discrepancies, and assist in preparing insightful reports for management. Assist with the reconciliation of bank and other key accounts. Identify and assist in the implementation of process improvements within the finance department. Key skills & experience: Be actively pursuing professional qualifications (e.g., ACCA, CIMA) with support from the company. Previous experience in a similar role. Excellent analytical and problem–solving skills. Strong attention to detail and accuracy. Proficiency in Microsoft Excel and accounting software (e.g., Xero, Sage). If this role is of interest, please apply or email (url removed).
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