financial results. The role is varied and consists of general auditing of the books and statutory returns as monthly VAT, reconciliations and creditors. – Review work of recon clerks and bookkeepers – Detect internal – Ensure all controls that are implemented are working properly – Assist with and manage ad-hoc reporting
Job Summary; To give good account of general administrative records and bookkeeping. Job description
Experience & Qualification 2 Years ( plus ) General Bookkeeping experience Good Excel Skills Organized
of products • Bank reconciliations • Journals • General Ledger accounts Salary: Market Related The post
minute client project update meetings Undertaking general documentation reviews and production Seeking and and Visio (essential) Demonstrable experience of working in a similar role within a PMO environment (essential)
Monitored & reviewed internal controls 3. Reviewed General Ledger Reconciliations 4. Prepared Budgets &
orientated and passionate about providing high quality work.
Responsibilities:
Strong Microsoft Excel knowledge, ability to work on Hyperion Financial Management (HFM) and Great
orientated and passionate about providing high quality work. Responsibilities: Prepare and maintain financial accounting processes and tasks - payments,fees,general ledger account reconciliations Co-ordinate and have completed articles or have at least 3-5 years' work experience in a similar role within the financial practices Strong Microsoft Excel knowledge, ability to work on Hyperion Financial Management (HFM) and Great
orientated and passionate about providing high quality work. Responsibilities: Prepare and maintain financial accounting processes and tasks - payments,fees,general ledger account reconciliations Co-ordinate and have completed articles or have at least 3-5 years' work experience in a similar role within the financial practices Strong Microsoft Excel knowledge, ability to work on Hyperion Financial Management (HFM) and Great
reports balance in relation to the amounts in the General Ledger. ● Oversee regular bank reconciliations