Key Responsibilities
Prepare and reconcile month-end deliverables, including bondereaux, accounting schedules, cashbooks, bank, and balance sheet reconciliations. Compile and distribute management accounts while supporting budgeting and forecasting processes. Assist with internal and external audits, ensuring compliance and implementing internal control improvements. Provide financial analysis and insights to support business decisions and resolve ad hoc queries. Optimize financial systems and processes using advanced Excel and system accounting expertise.
Qualifications & Experience Required
Bachelor's degree in Accounting or a related field preferred. Minimum of 5 years of post-graduation experience. Advanced Microsoft Excel skills are mandatory, with experience in MS GreatPlains and GRID as an advantage.
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