The organization is seeking a qualified finance professional to manage the preparation of comprehensive financial packs for clients, including detailed funding statements, cash flow projections, and insightful commentary on profit and loss variances. This role involves regular interaction with clients to review profit and loss statements and balance sheets.
Key Responsibilities:
Prepare detailed financial reports for clients, highlighting key areas of focus.
Collaborate closely with clients through monthly calls to discuss their financial performance.
Manage quarterly VAT returns and ensure accurate processing.
Precision accounting tasks: bank reconciliations, nominal ledger account reviews, fixed asset register updates, depreciation calculations.
A successful candidate will possess excellent analytical skills in conjunction with effective communication skills (written & verbal). Proficiency in MS Excel is also necessary as well as strong knowledge in various AP & AR profiles such as invoice processing payment runs receipts posting reconciliation aged debtors creditors report generation month-end activities.