Accounting professionals seeking a challenging role in financial management may find this position appealing.
Job Description
* Preparation of monthly balance sheets and bank reconciliations is key to accurate financial reporting.
* Maintain accurate records of banking transactions, ensuring seamless cashflow operations.
* Effective management of credit/purchasing cards requires diligent monitoring of VISA statements and confirmations.
* Collaboration with the Accounts Payable team ensures timely payment of invoices and procurement of necessary resources.
* Financial Department cover during absences involves taking on additional responsibilities as needed.
Key Skills:
* Proven experience in accounting, particularly in reconciliation tasks and financial reporting.
* Excellent MS Office skills, especially Excel, for data analysis and record keeping.
* Strong communication skills and high attention to detail are essential for success in this role.
Why Work Here?
* A dynamic work environment that encourages collaboration and teamwork.
* The opportunity to make meaningful contributions to organisational goals.
* Ongoing professional development and growth opportunities for career advancement.