Interim Staff Accountant

Interim Staff Accountant

Full-Time 31500 - 38500 Β£ / year (est.) No working from home possible
HFG

At a Glance

  • Tasks: Manage accounts payable, perform reconciliations, and support general ledger activities.
  • Company: Join a leading insurer for a dynamic three-month assignment.
  • Benefits: Gain valuable experience in the insurance sector with competitive pay.
  • Other info: Immediate start available for motivated candidates.
  • Why this job: Perfect opportunity to enhance your accounting skills in a fast-paced environment.
  • Qualifications: Experience in accounts within insurance and proficiency in Excel required.

The predicted salary is between 31500 - 38500 Β£ per year.

Interim Staff Accountant

To join for a three-month assignment for an insurer.

Key Responsibilities

  • Accounts Payable: Manage the full-cycle AP process, including invoice entry, approval routing, and vendor inquiries.
  • Reconciliations: Perform monthly bank and credit card reconciliations to ensure accurate financial reporting.
  • Expense Reporting: Audit and process employee expense reports, ensuring compliance with company policy.
  • General Ledger Support: Assist with routine data entry, basic journal entries, and organizing financial records.

Qualifications & Skills Experience

Previous experience in accounts within Insurance including day to day AP, Bordeaux, cashbooks and journals Excel Immediately available or on short notice.

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Interim Staff Accountant employer: HFG

HFG is an exceptional employer that values its employees by offering a dynamic work culture and flexible hybrid working patterns, allowing for a healthy work-life balance. With a strong focus on professional development, employees are encouraged to grow their skills and advance their careers within the global insurance sector, making it a rewarding place to work for those seeking meaningful contributions in internal auditing.

HFG

Contact Details:

HFG Recruitment Team

We think you need these skills to ace Interim Staff Accountant

Accounts Payable Management
Invoice Entry
Vendor Inquiries
Bank Reconciliation
Credit Card Reconciliation
Expense Reporting
Compliance Auditing