Job Description
Key Responsibilities Assisting with the preperation of monthly management accounts, including balance sheet reconciliations. Processing purchase invoices, including appropriate checks and reconciliations Cash reconciliations Assisting with supplier payments Review & analysis of venue timesheets to ensure timely and accurate reporting Assisting with payroll and payroll related tasks Assisting with weekly financial reporting & analysis Maintain an orderly accounting filing system Ensure quality control over financial transactions and financial reporting Continuous support of Finance Team members, processes and procedures Skills and Experience Entry Level
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