This role is responsible for assisting with month end recons and assisting the team where needed including audit and annual financial statements. Duties: Assist the finance team with monthly recons and catch VAT recons. Assist with checking GL accounts for accuracy and correct allocations. Assist with checking Financial Statements. Assist with outstanding audit queries, where needed. Assist with cashbook recons
This role is responsible for assisting with month end recons and assisting the team where needed including audit and annual financial statements. Duties: Assist the finance team with monthly recons and catch VAT recons. Assist with checking GL accounts for accuracy and correct allocations. Assist with checking Financial Statements. Assist with outstanding audit queries, where needed. Assist with cashbook recons
to handle inquiries and resolve issues promptly. Assist with month-end closing activities and contribute
to handle inquiries and resolve issues promptly. Assist with month-end closing activities and contribute