This is an extremely varied and interesting role that will provide exposure to all aspects of Accountancy and Finance within a busy, commercially focused and enterprising property group.
Your duties and responsibilities will include:
1. Postings and reconciliations for all development companies within the group.
2. Daily bank reconciliations
3. Loans and credit card reconciliations
4. Monthly Cash call reporting for Joint venture partners
5. Preparation of payment runs and ad hoc payment requests
6. Preparing various costs from AEl, SGA and other companies
7. Loan interest calculations and other reporting for JV partners
8. Preparation and submission of CIS returns
9. Preparation of monthly VAT returns
10. Assisting with Audit queries
11. Filing for own companies
12. Providing ad hoc support where required.
This role will provide you with continued career progression and ongoing support for AAT/ACCA/ACA/CIMA qualifications.
Excellent salary, generous holiday entitlement, early finish Fridays are all on offer to the successful candidate
01702 567 302