Your new role involves working directly alongside the Financial Controller and Managing Director to drive financial success. Key responsibilities include managing the billing cycle, credit control, general ledger management, and tax returns.
Key Accountabilities:
* Management of the billing cycle and oversight of any queries
* Credit control and assisting with payment plan set up for corporate clients
* Query and discrepancy resolution
* General ledger management
* Bank and account reconciliations
* Tax returns
* Problem-solving and process improvement
* Accounts preparation at month and year-end
* Bookkeeping
Requirements:
* Ample previous experience working in a similar finance role
* ATI qualification or part qualified ACCA or equivalent
* Ability to problem solve and think critically
* Strong communication skills
* Ability to work independently and on your own initiative
* Exposure to B2B credit or billing is highly desirable
* Strong knowledge of accounts and bookkeeping within a business environment
This role offers excellent opportunities for growth and development within a supportive office environment. The ideal candidate will be passionate about career advancement and seeking challenges in the coming years.