- Posting daily bank transactions into the accounting system ensuring accurate and timely financial records
- Daily bank reconciliations and credit card reconciliations
- Intercompany bank transfers and reconciliations
- Producing reports to management
- Raising sales invoices and maintaining petty cash
- Updating and maintaining daily cash flow figures
- Allocating receipts and payments to debtors and creditor balances
- At least one years’ experience working in a finance position
- Strong IT skills
- High level of accuracy and attention to detail
- Self-motivated and confident approach
- Problem-solving skills and to be able to work as part of a team
- 25 days holiday plus bank holidays
- Hybrid working (2:3 office/home)
- Flexible working arrangements
- Company pension
- Other standard benefits