The key purpose of this role is to support the finance manager with h Management Accounts and the preparation of accounts on a monthly basis. Key Responsibilities: Prepare overseas P&Ls, Balance Sheets and Cash flows on a monthly basis. Posting of accruals and prepayments and other recurring journals Supporting the year end statutory reporting processes for the international offices and other ad-hoc requests. Assisting with global annual budget process Reconciliation of overseas balance sheets Inter-company reconciliations including preparation and posting of any inter-office charges Required Experience/Skill Experience working in a legal or professional services environment High attention to detail Confident Excel skills The form offer hybrid working 3 days in the office, 2 from home, with comprehensive salary and benefits package.