Financial Accountant
HAYS
London

35000.00 - 40000.00 / Yrs
Experience : 0 Yrs | Full Time
Description :
  • Prepare cash book journals and bank reconciliations on a monthly basis.
  • Prepare balance sheet control account reconciliations on a monthly basis.
  • Process the monthly payroll journal and staff recharges on the finance system.
  • Processing accruals, prepayments and other journals in the finance system as directed by the Senior Finance Business Partner.
  • Support the Finance Business Partners and CFO to prepare the annual budgets and three-years plans, including detailed staffing plans.
  • Complete ad hoc analysis of data and benchmarking exercises.
  • Support the Senior Finance Business Partner in the preparation of monthly management accounts and forecast.
  • Assistance with preparation of funding bids.
  • Monitor government grant income in line with funding schedules and ensure it is recorded on
  • a timely basis.
  • Raise sales invoices on the finance system, pursuing overdue invoices and following credit
  • control procedures.
  • To be responsible for the Trust's daily cash balances review ensuring that no overdraft arises.
  • Monthly update of the long-term cash-flow forecast.
  • Provide cover as required across the network. Process purchases, from purchase order, goods
  • receipts and invoice on the finance system.
  • Process payment of invoices on online banking and the finance system.
  • Process new supplier requests on the finance system and supplier records.
  • Process expenses claims for staff and trustees.
Requirements :
  • In order for someone to be able to hit the ground running you must have worked in a similar role before
  • Be part qualified/ actively studying
  • Feel confident when presenting to external and internal stakeholders
  • Intermediate/ advanced Excel

London
Last date to apply : 31-01-2023

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