Responsibilities:
Weekly cash flow forecasting,
Reconciliation of balance sheet items
Full tax returns, including VAT, CT, CIEs, return of trading, etc.
Creating annual budgets,
Assist with accounts payable tasks in accordance with corporate policies,
As needed, provide financial support for projects.
Further Role Requirements:
Recently Qualified in ACCA/ACA/CIMA
Top 20 audit trained accountant
Having prior experience in the financial services sector is advantageous but not necessary.
Excellent analytical thinking skills and attention to detail
Capable of meeting deadlines
Ability to develop a sense of cooperation inside and among groups as well as on their own team.