Overview
This is a key role that will encompass various aspects of Accountancy within an interesting and diverse business, with a focus on optimising the accurate completion of the monthly Management Accounts for the Group.
Responsibilities
* Cash management and ensuring full financial governance.
* Maintain company confidentiality at all times.
* Prepare monthly management reporting for property investment companies.
* Day-to-day cashflow management for all companies including cashbooks & FX requirements.
* Maintain spreadsheets showing all movement & interest calculation.
* Reconcile balances/interest with the property portfolio.
* Preparation of monthly reconciliation.
* Preparation of year-end audit schedules.
* To provide information to the directors and other departments as required.
* Any other reasonable duties as required.
Shared responsibilities
* Assist with all related matters in conjunction with Group Finance Director and Financial Controller.
* Development of new systems and work practices with Group Finance Director and Financial Controller.
Requirements
* ACCA/CIMA/ACA Fully qualified or at finalist stage.
Our client is offering a stable and progressive working environment, attractive salary and bonus structure.
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