Overview
Rare opportunity to join a dynamic business in Nottingham, strengthening controls and developing better processes.
Integral part of the site Management team
Responsibilities
* Weekly bank reconciliations
* Managing cash flow forecasting/working capital management
* Nominal ledger analysis of expenditure
* Employee expenses checking and reconciliations
* H & S equipment reconciliations & posting
* Accruals/Prepayments
* Balance sheet control account reconciliations
* Fixed Assets and Depreciation
* Qtly Vat Returns
* Month End system reporting
* Preparation of Management Accounts
* Preparation of monthly forecasts
* Preparation of yearly budgeting
* Financial planning and ongoing relevant advice & support for FC and board of Directors
Profile
Qualified or QBE accountant with energy, enthusiasm and an analytical approach, progression on offer
Job Offer
£45-50k with progression opportunities and Hybrid working
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