Job description
Role Purpose:
Support the monthly financial control activities, management and statutory reporting, taxation and audit.
Responsibilities:
Daily bank reconciliations including resolving unreconciled transactions- Preparing general ledger journals
- Preparing monthly management accounts and divisional reports
- Balance Sheet reconciliations, including suspense account management
- Assisting in preparation of tax requirements including quarterly VAT returns and annual corporation tax returns
- Assisting the FP&A team with any month end analytical review
- Assisting internal and external auditors with queries
- Ad-hoc reporting
Skills and Experience Sought:
Excellent numeracy skills- Good communication skills
- Problem solving skills
- High degree of accuracy and attention to detail
- Ability to work calmly under pressure
- Ability to work independently but also as part of a team
- Strong Microsoft Excel skills
Remuneration and Benefits:
Competitive salary and bonus package- 26 Days Holiday
- 2 Wellbeing Days
- Contributory Pension
- Life Insurance / Income Protection / Critical Illness cover
- Private Medical Insurance
- Season Ticket Loans
- Excellent career development opportunities and where appropriate sponsorship of a relevant qualification