Working within a flat-structure, your position reports directly to the Finance Manager and will support them through a project. You perform bank recs, month end journals, accruals, process inter-company invoices and any other adhoc reconciliations that are required. You will be assisting with some of the month end reporting along also and will have to assist with some transactional accounting.
To be successful in this role you will need to be extremely "hands-on" in your approach and have the motivation to get into the detail on a daily basis. You will be commercially focused and have the proven ability to build relationships with both internal and external stakeholders.
Ideally you are CA or CPA Qualified or nearly Qualified and it would be highly regarded if you also have experience within complex reconciliations ideally from a large organisation. You will be confident with systems and have a high level of Excel.
Candidates on Visas are encouraged to Apply.