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- Ensure a timely and accurate monthly financial close for assigned profit and cost centres
- Support the Finance Manager in the provision of monthly management information
- Post monthly accrual and prepayment journals to reflect accrued and deferred income and costs
- Reconcile balance sheet accounts for accruals and prepayments for monthly review with the Finance Manager
- Provide detailed analysis of Financials in the Occupier profit centre to the Profit Centre Manager to allow monitoring of the performance of respective teams
- Support the Finance Manager & Financial Controller with ad hoc queries
Skills and Experience required -
- Currently pursuing an accounting qualification (ACCA or CIMA)
- Experience of accounting in an operational finance team
- Ambition and a desire to progress within an organisation
- Team player
- Strong Excel skillsGoodman Masson is acting as an Employment Agency in relation to this vacancy.
Goodman Masson is an equal opportunities employer.