My client is an award winning business based in the heart of Chessington. They boast a fun and exciting environment and a enviable working culture. They currently need a finance professional to join their busy finance function to support with a variety of finance duties.
Job Description
The role will involve, but not be limited to:
Cashbook entries
Journal postings
Intercompany re-charging and raising debit notes
bank reconciliations
managing cash flows
Raising non-supplier payments
Stock control and stock reporting
Raising sales invoices
AR reporting
Assisting with monthly management accounts
Assisting with budgeting and forecasting process
Supporting non-finance stakeholders - business partnering
Reviewing PO and accruals
The Successful Applicant
The successful candidate will:
Have a good understanding of double entry bookkeeping and clearly know the difference between a debit and a credit
Have experience with Accruals and journal postings
Be able to start in September and be committed for a minimum of 6 months
Have a good working level of excel - to do look up's and pivot tables
Be able to work in the office for the majority of the time (the finance team are working on a rotation)
Have sage experience - not essential
Ideally be studying; AAT. ACCA or CIMA
Required Knowledge, Skills, and Abilities
• Have a good understanding of double entry bookkeeping and clearly know the difference between a debit and a credit • Have experience with Accruals and journal postings • Be able to start in September and be committed for a minimum of 6 months • Have a good working level of excel - to do look up's and pivot tables • Be able to work in the office for the majority of the time (the finance team are working on a rotation) • Have sage experience - not essential • Ideally be studying; AAT. ACCA or CIMA