This exciting new position will be responsible for maintaining accurate accounting records for both client companies.
Responsibilities will include:
Assist with accurate weekly, monthly and yearly end close.
Review, maintain and prepare detailed journal entries, account reconciliations to the general ledger accounts.
Analyse expenses ensuring accurate coding, accruals and solving any discrepancies.
Prepare monthly intercompany account reconciliations.
Ensure a timely year end, assisting with all enquiries and deliverables.
This is a fantastic new role within the business. This position offers a very competitive salary, with added benefits on top.
If you feel that you fit the profile for this role, please get in touch today! Email your CV to firstname.lastname@example.org or call 629 676 for more information.