Overview
Main duties involve handling large amounts of paperwork and data transfers; initiating solutions with department managers and holding them accountable for financial performance against budget; updating debt and aged work in progress spreadsheets for clear and detailed analysis; providing timely management information to senior management regarding daily/weekly operational expenditure against budget; contributing to cost control and revenue increase; handling petty cash, floats and expenses; assisting with financial month end reporting; contributing to team effort by accomplishing related results as needed.
Responsibilities
* Handle large amounts of paperwork and data transfers.
* Initiate solutions and interventions with relevant department managers and hold them accountable for financial performance against budget.
* Update debt and aged work in progress spreadsheets for clear and detailed analysis.
* Provide timely management information to the senior management team regarding daily/weekly operational expenditure against budget.
* Provide solutions and interventions to control costs and increase revenue.
* Handle all petty cash, floats and expenses.
* Assist with financial month end reporting.
* Contribute to team effort by accomplishing related results as needed.
Qualifications
* ACA/ACCA qualified
* Statutory/management accounts preparation experience
* Excellent attention to detail
* Advanced in Excel
Contact
Phone: 01702 567 302
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