Exciting opportunity available for an experienced Accountant to join a well-established team. The main purpose of the role will be to support the business and Finance Director, ensuring all financial managementtasks are completed accurately.
This is a full time office based role, and will require excellent attention to detail, along with self-motivation and desire to achieve.
ROLE:
- Daily bank reconciliations on all bank accounts.
- Update managers on bank receipts.
- Compile and post Sales and Purchase Invoices/payments and update accounts system.
- Maintain stock book movements and stock book master files.
- Adding sales and purchase payments on the bank.
- Preparation of draft monthly management accounts, including journals, inter-company adjustments, reconciliations.
- Reconcile Balance Sheet Control Accounts monthly.
- Maintain month and year end filing of main balance sheet accounts.
- Process and post monthly petty cash, credit card and expenses.
- Prepare data for year-end audit.
- Pension Fund invoicing and keeping records.
- Invoice payments and reminders.
- Keeping on top of Debtors.
- Raising of sales and purchase invoices.
- VAT margin scheme liabilities.
REQUIREMENTS:
- Excel - intermediate level or above.
- Word & Outlook- intermediate level or above.
- Group Accounting experience.
- Management accounts experience.
- Audit experience.
- Strong VAT Knowledge.
Driver's license and own car is essential.
Allocated parking space.
Nest pension scheme.
20 days holiday plus 8 bank holidays.
Monday to Friday 8:30am - 5:30pm