Responsible for all financial procedures relating to the Accountants Store allocation. This includes preparation of all management accounts, financial planning, budgeting, reporting of budget variances, cost control and cost analysis. Ensure that all administrative Policies and procedures are adhered to. 1. Manage trial balances 2. Process monthly journals 3. Manage Fixed Asset Register 4. Prepare Balance Sheet reconciliations 5. Prepare monthly management accounts 6. Banking and cash management 7. Review and distribution of financial reports 8. Preparation and submission of VAT returns 9. To uphold and promote the company values and culture BCom/BCompt Degree (with articles preferable) 2 years' experience in a similar role Kerridge knowledge advantageous Market Related
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