Opportunity Description
Key responsibilities require a high level of detail orientation and include but are not limited to:
- Controlling bank and intercompany reconciliations and carrying out investigations for unreconciled items.
- Accounts reconciliation and accounting postings into general ledger system.
- Reconciliation of other accounts in the general ledger, for example customer deposits.
- Preparing analysis of accounts and producing monthly reports.
- Assisting in preparation of monthly management information and group reporting.
- Daily Journal postings into the finance ledger and the maintenance of GL’s in the finance ledger.
- Reviewing inputs into the Finance ledger and rectifying any breaks from source banking system.
- Responding to auditor enquiries and supporting the year end process.
- Assisting on any ad-hoc duties when required.
Responsibilities also extend to :
- Liaison with reconciliation team. ...
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