Join a fast paced, thriving and collaborative environment as a Finance Officer, where you will be responsible for recording all bank payments and charges accurately on the financial accounting system. You will also complete daily bank reconciliations, and support the Finance Manager with the required monthly cash flow and reconciliations.
By joining this company you will be encouraged to grow by being mentored and supported to reach your full potential, both personally and professionally.
Responsibilities will include:
Assisting with accounts payable queries received
Liaising with the Finance Manager in identifying and preparing cash flow forecasts
Ensuring any outstanding amounts are resolved
Preparing court stamp requests and associated payment requests
Reviewing procedures to ensure a quality service is delivered to clients at all times
Experience and skills required:
Candidates should have a solid understanding of basic accounting principles
Strong understanding of accounts payable
Previous experience in an international professional services firm would be an advantage but is not essential
Good attention to detail.
Excellent written and verbal communications skills
We are an equal opportunity employer and value diversity at all times.