Join a fast-paced commercial environment, on an initial 3 month contract, to manage the finance operations team, ensuring daily requirements of the business are performed to a high standard.
In this role, you will be expected to maintain control over the business’ cash and treasury functions to contribute towards the ongoing sound financial direction of the business.
This role requires flexibility in working hours and has the potential to become a permanent position.
Responsibilities will include:
Managing the workload of the accounts payable/receivable team on a day-to-day basis
Assisting in resolving queries from the team and providing on-the-job training/coaching
Ensuring that supplier statement reconciliations are completed accurately and in a timely manner
Completing monthly reconciliations on sensitive and confidential areas such as payroll
Reviewing and authorising payments from the business’ bank accounts, ensuring that suppliers are paid to agreed terms
Experience and skills required:
CAT/AAT qualified Accountant or working towards an accounting qualification such as ACCA/ACA/CIMA, or qualified by experience
Strong knowledge of Excel and computer literacy
Strong people management skills
Good telephone manner is essential
We are an equal opportunity employer and value diversity at all times.