Purpose of the role:
To support the effective running of the Finance Department and contribute to the delivery of accurate and timely financial reporting.
Responsibilities:
- Prepare and review general ledger reconciliations and other monthly finance processes.
- Assist with the preparation of monthly management accounts and supporting analysis.
- Prepare monthly ANLA calculations and other recurring financial reports.
Skills required:
- Process, review and reconcile financial transactions accurately and on time.
- Prepare management accounts and supporting schedules in line with agreed deadlines.
- Complete reconciliations and carry out an appropriate level of self-review on key outputs.