Reporting directly to the Finance Director you will be joining a friendly and cohesive team, with opportunity to provide support and have a positive impact during this buy time.
Role Responsibilities include across both UK and European sites:
- Year End audit file preparation
- Daily & weekly bank reconciliation
- Intercompany payments: full responsibility for payable queries and reconciliation for all intercompany payments
- Month End reporting: Full P&L ownership and reporting
- Ad hoc responsibilities supporting the finance team
- Strong accounting experience and exposure to month end procedures
- Positive, driven and able to assist the finance team where needed, with ability to work with stakeholders across the business
- Competent with systems and strong Excel experience.
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