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Responsible for the performance of operational Balance Sheet reconciliations including credit cards, control accounts etc, with the timely investigation and resolution of variances
Uphold strong internal controls by identifying potential areas of weakness across the operational finance team
Preparation of quarterly VAT returns
Support the monthly bank reconciliation process
Supporting month end completion and preparation of Management Information
Supporting FP&A team with budgeting and forecasting
Assist with new system implementation, completing testing as required
Contribute to the continuous improvement of accounting activity across the finance team
Adhoc project work
Requirements:
Qualified ACA/ACCA
Strong financial accounting and reconciliation skills
Meticulous attention to detail, analytical thinking, problem solving and adaptability
Comfortable working in a fast-paced, dynamic finance team