Vacancy Description
- Support monthâend and yearâend close processes, ensuring accurate financial records
- Prepare monthly financial accounts including bank reconciliations and fixed asset schedules
- Assist with budgeting and financial planning processes
- Monitor cash flow and support timely supplier payments
- Process accounts payable and receivable transactions across the business
- Track and reconcile group expenses, including supplier invoices and overhead costs
- Manage and reconcile intercompany transactions across divisions
- Assist with audit preparation and ensure compliance with financial standards
- Analyse financial data and identify discrepancies or trends
- Work closely with finance and operational teams across the business
- Maintain accurate financial records and supporting documentation
- Support general finance administration and adâhoc reporting
Sk...
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