• Supporting the preparation and delivery of weekly & monthly management accounts.
• Preparing and processing monthly GL and account reconciliations.
• Responsible for ensuring relevant balance sheet reconciliations are up to date and accurate.
• Managing a large volume of intercompany pricing and transactions.
• Reviewing and reconciling annual long-term agreements with customers.
• Ensuring effective stock controls are in place for product under management.
• Partnering with the wider Finance team to ensure processes in place are as effective as possible.
• Assisting with Internal and Year End audits.
Recently Qualified Accountant (ACA, ACCA, CIMA or equivalent).
Strong financial modelling, technical accounting and process management skills.
Willingness to ‘get stuck in’ and learn the business.
Excellent business and commercial acumen.
High level of IT proficiency.