Financial Accountant Role
This is a financial accounting position that requires expertise in preparing management accounts, reconciling bank accounts, and managing cash flows.
About the Position
* Preparation of management accounts on a monthly basis to Balance Sheet stage
* Reconciliation of bank accounts for the company
* Cash management / monitoring of cash sheet reporting
* Credit Card Terminals income management
* Year end Audit close off / liaison with auditors
* Assistance with budget setting each year
* Reporting of actual versus budget versus last year variance analysis as required
* Fixed Asset Register maintenance and ensuring up to date on a monthly basis including depreciation posting
* Management of intercompany account with other companies
* Coordination of Bi-Monthly Payment file for supplier payments with Accounts Payable team
* VAT Management
Requirements
* A relevant accountancy qualification/ be a member of accountancy professional body
* Experience in using accounting software packages
* Excellent IT Skills including Microsoft advanced Excel and Word
* Systems focused with an eye on continued process improvement and process efficiencies
* The ability to manage and prioritise own workload, and work with flexibility, reliability, and particular initiative to meet deadlines
* Demonstrated relationship management skills and experience in working in a supportive manner
* Excellent attention to detail, organisational, administrative and time management skills