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Perform a variety of accounting tasks, including accounts payable/receivable, journal entries, bank reconciliations, and general ledger maintenance. This involves accurately processing invoices, preparing and reconciling bank statements, posting journal entries, and maintaining the general ledger to ensure accurate financial records. Assist with the preparation of financial statements, including balance sheets, income statements, and cash flow statements. This may involve gathering financial data, preparing supporting schedules, and assisting in the analysis and interpretation of financial results. Provide support to the accounting team in various areas, such as data entry, file maintenance, and special projects. This may include assisting with audits, preparing reports, and conducting research on accounting issues.