* Orpington
* Permanent
About Our Client
Our client is a well-established organisation performing very well in their industry sector and as a result have requirement to grow the Finance department.
Job Description
* Multiple bank reconciliations
* Reconciling risks transfer bank accounts to monthly bordeaux statements and paying insurers
* Provide management reporting for decision-making, including project appraisal, evaluation and post-implementation analysis
* Produce monthly management accounts in statutory accounts format
* Report on company assets and liabilities including balance sheet account reconciliations
* Ensure compliance with all financial regulations
* Process payroll for all the business on a monthly basis (including pension payments)
* Prepare and send out the monthly income report to all teams within the AR network
* Assist in preparation of client money calculation and payments
* Assist in preparation of introducer payments
* Assist with general day to day accounts queries including those with Acturis as well as Quickbooks
The Successful Applicant
* AAT/ ACCA /CIMA Studier
* Insurance experience - preferable but not essential
* Excellent verbal and written communication skills
* Strong analytical and problem-solving skills
* Proficient in Microsoft Excel
* Excellent interpersonal skills with the ability to communicate at all levels with both financial and non-financial management
What's on Offer
* A competitive salary and benefits package
* A contributory pension scheme
* A supportive and professional work environment
* Opportunities for career progression and development
We warmly invite those who meet these criteria to apply for this role in the Financial Services industry.
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