Our client offers a comprehensive range of services including display, programmatic trading, audience data, native advertising, content creation, ad-operations, and creative services, They empower advertisers to achieve their marketing goals while enabling publishers to focus on engaging their audience and producing compelling content. In particular they specialise in working with clients in golf, automative, travel and luxury lifestyle.
They are based in Victoria, London, and can offer hybrid working with a minimum of 2 days in the office.
Responsibilities
- Conducting bank reconciliations to ensure accuracy and completeness of financial records.
- Managing VAT returns in compliance with regulatory requirements.
- Handling invoicing processes efficiently and accurately.
- Demonstrating proficiency in profit and loss (P&L) analysis.
- Conducting weekly forecasting and budgeting to support strategic planning.
- Processing orders and transactions accurately within established systems.
- Utilizing advanced Excel skills, including VLOOKUP, SUMMITS, and Pivot Tables, to analyse financial data and generate reports.
- Collaborating with external accountants to address ad-hoc financial issues and ensure compliance with accounting standards.
Requirements:
- Finance Qualification (AAT or Degree in Finance and Accounting)
- Proven experience in bank reconciliation, VAT returns, invoicing, and P&L analysis.
- Strong proficiency in weekly forecasting, budgeting, and financial reporting.
- Excellent knowledge of order processing and system processing procedures.
- Advanced Excel skills, including VLOOKUP, SUMMITS, and Pivot Tables.
- Ability to communicate effectively and liaise with external accountants and stakeholders.
- Attention to detail and accuracy in financial data management.
- Proactive problem-solving skills and ability to work effectively in a fast-paced environment.