Job Description
The role will be to provide accounting support to the Finance Manager to enable accurate financial reporting, maintenance of accurate balance sheet control accounts, monthly payroll processing and compliance with HMRC statutory requirements.
- Payroll processing including year-end returns
- Preparation of P11D’s
- Reconciliation of balance sheet accounts
- Nominal ledger journal postings
- Preparation of VAT returns
- Maintenance of cash books
- Preparation of analyses requested by the Finance Manager or Managing Director