• Posting and production of accurate monthly journals
• Loading and checking budget and forecast uploads in the Hyde Group finance systems.
• Financial reconciliations of key areas of income and costs. This will include staff reconciliations.
• Use of corporate database systems to maintain, manage and produce relevant reports for the business. For example the new staff budgeting and forecasting tool.
• Support team members in providing financial analysis, support and advice to Business Managers.
• Prepare balance sheet reconciliations, ensuring all the transactions in the accounts are fully evidenced and understood.
Evidence of strong analytical skills.
Good interpersonal skills, confident to liaise with Budget Managers and Team members.
Good time management ability, able to meet reporting deadlines
Drive and enthusiasm to take on new tasks and activities.
Able to challenge, and propose new solutions.
Can work independently and can demonstrate innovation.
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