Cash book maintenance and bank
reconciliation for diverse entities. timely chasing of UK
business debtors & addressing creditor queries.Monthly
review & approval of multi-currency bank
reconciliations.Handle monthly payroll preparations
& reviews, liaising with external providers.Oversee
VAT reconciliations and submissions.Manage supplier
invoices & employee expenses on the online banking
platform.Ensure punctual credit card reconciliation with
receipts & data entry into accounting software. Proficiency in Microsoft
Office: Excel & Word.Superior time management &
task prioritization skills. Benefits:Competitive salary,
based on experience.Flexible 37.50 weekly working
hours.Health insurance.Inclusive pension scheme.
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