Reporting to the Finance Manager, your role will include (however not be limited to);
- Support day-to-day finance operations as part of a team
- Own high-volume reconciliations
- Bank journals and reconciliations
- Investigate variances
- Prepayments, accrual, schedules and month-end journals
- P&L and general ledger reviews
- Balance sheet reconciliations
- Assist with half-year and year-end audit requirements
- Ad hoc analysis and tasks as required
You will be a degree qualified Assistant Accountant who has started (or are looking to start) your CA/CPA. You will have high volume reconciliations experience from a medium/large size organisation. You will enjoy working in a team environment and have excellent verbal and written communication skills.
Interested? Click on "Apply now!" to be considered for this role.
Please submit your CV in Word format to assist with client submission.

