Overview
This is an extremely varied and interesting role that will provide exposure to all aspects of Accountancy and Finance within a busy, commercially focused and enterprising property group.
Responsibilities
- Postings and reconciliations for all development companies within the group.
- Daily bank reconciliations
- Loans and credit card reconciliations
- Monthly cash call reporting for joint venture partners
- Preparation of payment runs and ad hoc payment requests
- Preparing various costs from AEl, SGA and other companies
- Loan interest calculations and other reporting for JV partners
- Preparation and submission of CIS returns
- Preparation of monthly VAT returns
- Assisting with audit queries
- Filing for own companies
- Providing ad hoc support where required
Qualifications
This role will provide you with continued career progression and ongoing support for AAT/ACCA/ACA/CIMA qualifications.
Benefits
Excellent salary, generous holiday entitlement, early finish Fridays.
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