Job description
Grafton Banks Finance are delighted to be supporting an international organisation with recruiting a PQ Management Accountant to the team. The position will support the FD/FM with the processing of invoices, bank reconciliation's and the analysis around AR/AP processes. They have recently gone through a growth period and are now requiring an extra pair of hands to manage the month end process and to make sure all the banks reconcile for reporting purposes. Due to the nature of the business, you will be tasked with monitoring the cash balances and bi-monthly reconciliation's of multi-currency bank accounts and are required to take responsibility for prepayments, fixed assets and monthly accruals. So, if you would like to hear more, please read on.
- Assist with the preparation and reporting of monthly management accounts to regular deadlines
- Involved with the reporting on monthly variances for freight, duty and clearance along with other cost centres
- Reconciliation and analysis of key accounts
- Management of all purchase orders
- Supporting in the year-end statutory audit process and regular bank audits
- Full Study Support support is included
If you are interested in the role, please APPLY today!