This is a 12 month FTC
This role is part of the Financial Control Team and involves providing financial and administrative support to the company. This will involve preparation of daily bank reconciliations by posting of banking transactions in multi-currencies to all ledgers and to perform daily, weekly, and monthly bank reconciliations, as well as maintaining of AR/AP ledgers to accurately reflect the balances in the monthly accounts.
The role will work closely with internal and external stakeholders to ensure that bank reconciliations and ledger entries are made accurately and on time.
This role will also work closely with our audit leads for interim and year end audits providing details of transactions and allocations where required.