About Our Client
Growing and well-established Multi-site Retailer with HQ in Lincoln.
Job Description
1. Weekly bank reconciliations
2. Managing cash flow forecasting/working capital management
3. Nominal ledger analysis of expenditure
4. Employee expenses checking and reconciliations
5. H & S equipment reconciliations & posting
6. Accruals/Prepayments
7. Balance sheet control account reconciliations
8. Fixed Assets and Depreciation
9. Quarterly VAT Returns
10. Month End system reporting
11. Preparation of Management Accounts
12. Preparation of monthly forecasts
13. Preparation of yearly budgeting
14. Financial planning and ongoing relevant advice & support for MD and board of Directors
The Successful Applicant
Qualified or QBE accountant with a hands-on approach, good Excel skills, and capable of hitting the ground running in a busy department.
What's on Offer
£250-300p/d, hybrid working, and the possibility of a longer-term or permanent role.
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