Using a range of financial data to work as a team to generate the monthly/quarterly Revenue Management Accounts for the organisation Provide variance analysis at month end Ensure completion of daily bank reconciliations. Prepare weekly gross profit projections and carry out regular analysis of monthly and yearly revenue against budget. Preparing financial reports for senior management to assist with decision making. Maintain accurate schedule of work papers throughout the month. Identifying opportunities to continuously improve processes and to contribute to the wider finance project on the implementation of Workday. Communicating at all levels within the organisation, with the capability to present financial information to non-finance colleagues and teams. Assist and support the annual financial audit and external audits and own resolutions where required. Qualifications Working towards CIMA / ACCA Benefits Working from home Company Bonus Study Support 25 days holidays Bank Holidays 40 hour working week