Reporting to the Financial Controller, the selected candidate’s duties include:
- Posting and reconciliation of Creditors and Sales ledger.
- Prepare and maintain periodic stock reconciliations and other cost reports.
- Preparing accounts reconciliations and bank payments.
- Compile and report statistical information and other returns to third party entities.
- Assisting with month-end related tasks.
- Liaising with company stakeholders including Auditors, Debtors and Creditors.
- Other day to day work within the department as necessary.