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Fantastic opportunity for a fully qualified who is seeking a progressive role. Working in a great team, fully office based your role will include: Manage and prepare quarterly & year end management accounts Manage and calculate quarterly VAT returns and reconcile to turnover Balance sheet reconciliations & journal entries, including prepayments & accruals Manage fixed asset register & post depreciation Monitor exchange rates and purchase foreign currency Process all bank transactions Reconcile multi-currency bank accounts, petty cash balances and credit card receipts Manage all aspects of Sales and Purchase Ledgers Raise sales invoices to recharge shared costs Verify and process expense claims Monitor expenditure to assist colleagues in budget management Monitor cash flow and prepare weekly cash flow reports Respond to auditors queries at year end Manage, mentor and support the development of the Accountant Submit reports to Office for National Statistics (legal requirement) Prepare monthly sales report Manage and prepare the annual financial budget Ensure compliance with all financial regulations Review accounting processes and improve where necessary to ensure efficient operations