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Are you an organised and detail-focused individual ready to dive into the world of finance? Join our client's busy finance team and play a vital role in keeping daily financial operations running smoothly! Our client is a thriving organisation known for its commitment to excellence and teamwork. This temporary position offers a fantastic opportunity to contribute to a dynamic finance team while enhancing your professional skills.
Job Responsibility:
Raise customer invoices daily
Send out monthly customer statements
Post customer receipts and reconcile accounts
Carry out weekly credit control and resolve customer queries
Check daily bank balances across GBP, Euro, and USD accounts
Reconcile daily bank statements
Post supplier invoices and manage reconciliation of supplier statements
Handle supplier payments and resolve queries
Assist with journal entries and various management accounting tasks
Support month-end processes and preparation of the trial balance
Step in for the Financial Controller when needed
Requirements:
Strong working knowledge of SAP and Excel
Excellent attention to detail
Good problem-solving skills
Ability to manage time effectively and meet deadlines in a fast-paced environment