A fantastic opportunity to work closely with the Director of a successful construction company. Provision of timely and accurate financial information to the Director Preparation of budgets, monitoring against cashflow Preparing cash forecast and models using Excel Preparation & submission VAT, CIS etc Recording general financial transactions Payroll duties Reconciliations Maintaining asset registers Updating financial policies & procedures as needed The company are ideally looking for qualified CIMA / ACCA / ACA with a background in hands on accounting within an SME environment. You will need strong experience using Excel.