Ensuring financial information is prepared on an accurate & timely basis; including reporting & financial analysis for key performance & monthly management reporting (at Regional & Directorate level).
Role profile
This is a varied and challenging role with key responsibilities as follows:.
The role will require you to work on your own initiative, understand complex issues, and convey this succinctly and clearly to inform decisions.
You will be acting as the Assistant Accountant with one person who is alongside you as an Accounts Assistant.
This is a brilliant role working within an SME in central Reading (with parking on site) and an opportunity to build your career from Assistant Accountant through to Finance Manager
This business is a small regional company which is part of a larger national business.
Our client is a friendly SME business who seek to hire an Assistant Accountant.
The role will sit between the Finance Manager and an Accounts Assistant taking ownership of the general ledger and financial transactions for accurate and compliant reporting, both internally and externally.
The role will also assist in providing information to the Executive team and wider business, both financial and non-financial, that can be used in day-to-day operations and decision-making.
This role is for an Assistant Accountant who is driven and has a keen eye for detail.
The candidate will be responsible for a variety of tasks, including preparing financial reports, reconciling bank statements, and maintaining financial records.
Our client is a prominent industrial / manufacturing firm in the Reading area.
This position is for a qualified accountant to support with an initiative to reconcile balance sheets to ensure accurate, timely data using accounting ERP systems.
THE ROLE
Preparing a variety of reconciliation and accounting reports using ERP computer accounting systems; researching accounting discrepancies, determining most appropriate methods to correct discrepancies and preparing corrections.
Gathering and analysing data to ensure financial statements, balance sheet reconciliations and other accounting related activities are statutorily and legally appropriate and within the guidelines of Generally Accepted Accounting Principles (GAAP).
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