Are you ready to be part of an exciting company in a global marketplace?
Working alongside the Financial Controller, you will be providing accurate and effective maintenance of the company's financial records as part of a close-knit finance team.
The role will be varied and duties will include:
* Purchase ledger processing
* Sales ledger posting
* Managing multi-currency banking payments
* Bank reconciliations
* Credit Control
* Foreign exchange contracts with banks
* Preparation of monthly management reports
* Cash Flow forecasting
* Monitor customer credit insurance limits
* Intrastat VAT
* Balance Sheet preparation
* Assisting with supplier queries
This role will suit someone who enjoys an all-round accounting position where duties are varied. You will be taking sole ownership of one of their key accounts.
AAT qualified (or equivalent), experience working in an SME would be ideal, and experience of SAP would be a distinct advantage although not essential.
Good Excel skills and the ability to interact with the wider business are also key to the success of this role.
This is a friendly, fast-paced business and the successful candidate will have access to a competitive benefits package. The role is fully office-based with working hours (9-5).
Interviews will look to be held following the Easter weekend, so please send your CV for immediate consideration.
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