Newly Qualified Financial Accountant Key Responsibilities: Accounts payable review and input supplier invoices prepare monthly supplier reconciliations assist in preparing monthly payment runs maintain good communication with suppliers Cash assist in daily/weekly cash reconciliations and investigate any variances Bank reconciliations perform monthly bank reconciliations Accounts receivable assist in monthly revenue reconciliations Accruals assist in preparing monthly accruals Fixed assets ensuring all assets are recorded correctly and the Fixed Asset Register is accurate and kept up to date. Provide assistance with month-end financial close prepare journal entries and balance sheet reconciliations Preparation of monthly fee shares in a timely manner Controls ensure strong internal controls environment is maintained Liaise with team members in the three of our locations where necessary Projects - perform any other duties as required to support the business Requirements: Ideally newly qualified ACCA/ACA Proven experience (3+ years) working in a Finance Function Experience in month end reporting Proficiency in accounting software and MS Excel (pivot tables, lookups etc.) Excellent communication skills with the ability to interact effectively with both internal and external stakeholders Excellent numerical skills with attention to detail Strong organizational and time management skills Strong ability to work independently and manage tasks effectively (with a can-do attitude) Attention to detail and analytical skills