Processing staff claims and payments Processing accounting entries to GL / TB Supporting month-end and year-end year-end processes which includes management accounts, accruals, cost schedules and meetings, journals including allocations or checks required from accounts receivable and payable functions Reconciliation of unallocated unallocated receipts. Manual capture of non-trade bank accounts. Dealing with the bank on all administrative needs year min 3 years experience in a similar role Accounting qualification would be a bonus. Market related