Job Description
To work alongside the property department and reporting into an accounting supervisor, as part of the wider accounts teams.
Job role includes, but not limited to:
- Ensure completion of month-end processes within deadline.
- Maintaining global property databases
- Analysing prepayments and accruals against a budget.
- To identify potential error’s and create monthly reports against accounting standards.
- Ad-hoc project analysis and reporting
- Support multiple departments across the business.
- To work with external consultants on implementation of systems and improvements
- Working as part of a team of 7 to process the monthly costs for all of our properties
Qualifications
- Minimum 1/2 year’s experience in a finance role dealing with balance sheet reconciliations
- Part qualified professional qualification
- Hard working and willingness to learn is essential