Finance Professional Sought for Exciting Opportunity
This is a fantastic chance to work in a dynamic finance team, supporting the Finance Manager with month-end reporting and day-to-day financial operations.
Key Responsibilities:
1. Support the Finance Manager and wider finance team with month-end reporting and day-to-day financial operations.
2. Prepare and submit VAT returns, complete Intrastat reports, and other statutory filings.
3. Manage the creditors ledger by processing invoices, reconciling supplier accounts, and preparing payments.
4. Oversee the debtors ledger by allocating payments, chasing outstanding debts, and issuing statements.
5. Maintain good relationships with customers while ensuring timely payments through credit control.
6. Assist with management accounts preparation, financial reporting, and general ledger maintenance and reconciliation tasks.
Requirements:
* Part-qualified (ACCA, CIMA, or IATI) with 2+ years of experience in a similar finance role.
* Strong Excel skills and experience with ERP/accounting systems (SAP, Sage, or similar).
* Excellent attention to detail, analytical skills, and communication skills.
* Proactive, driven, and eager to learn and grow with the business.
We are seeking a proactive individual who can take on these responsibilities and contribute to our company's success.