* Supporting the day-to-day running of the Finance Department.
* Assisting with preparing management accounts, budgets and forecasts.
* Posting and reviewing journals, accruals and prepayments.
* Completing bank and balance sheet reconciliations.
* Maintaining fixed asset and inventory records.
* Preparing cash flow reports and forecasts.
* Assisting with month-end and year-end processes.
* Managing intercompany accounts and reconciliations.
* Producing regular management and performance reports.
* Supporting invoicing, recharges and ad hoc reporting.
* Ensuring accurate record keeping and compliance.
* Providing general finance and administrative support to the wider team.
TMM Recruitment INDFIN