An exciting opportunity has arisen within a growing accountancy firm that is expanding its team to support a growing portfolio of local clients. This is your chance to become a key part of a dynamic, forward-thinking finance team, where your skills will directly contribute to the success of businesses across the region. As the firm continues to grow, so will your opportunities—offering clear progression in a supportive and professional environment. Role Responsibilities: Prepare monthly management accounts Produce profit and loss reports Maintain and complete sales invoices and associated reports Handle accruals and prepayments Conduct bank reconciliation's, postings, and balance checks Manage petty cash and post relevant journals Post daily bank receipts Assist with yearly budget preparation Set up new suppliers on accounting software Generate reports on debtors and creditors Prepare VAT returns Skills & Experience Required: AAT Part Qualified or Qualified Proficient in Microsoft Office, SAGE, and XERO Previous experience in a similar finance/accounting role is essential If you're a detail-oriented professional with a passion for numbers and a desire to contribute to a growing business, we’d love to hear from you