
Part Time Financial Professional
2 days ago
Accountant Role Overview
We are seeking a highly skilled and organized accounting professional to join our organization on a contract basis.
Key Responsibilities:
- Daily Petty Cash Management involves the handling of company funds, ensuring accurate record-keeping and adherence to financial protocols.
- Supplier Invoice Processing and Payments Management requires the timely processing and payment of invoices from suppliers, maintaining a positive working relationship with vendors.
- Staff Payroll Processing and Payment Support entails managing staff payroll, including processing payments, resolving any issues that may arise, and providing support to employees.
- Expense Report Monitoring and Tracking ensures compliance with company policies and procedures regarding expense reporting, facilitating accurate financial decision-making.
- Intercompany Invoice Creation supports the efficient management of internal transactions, enhancing operational efficiency and transparency.
- Monthly Management Account Support includes preparing and presenting management accounts, providing insights into the company's financial performance and identifying areas for improvement.
- Balance Sheet and Bank Reconciliation Support is crucial in ensuring the accuracy of financial records, facilitating informed business decisions.
- Annual Statutory Financial Statement Preparation involves the compilation and submission of required financial statements, ensuring regulatory compliance.
Requirements:
- Excellent accounting skills and experience are essential for this role.
- Strong organizational and time management skills are necessary to meet deadlines and prioritize tasks effectively.
- The ability to work independently and as part of a team is vital for success in this position.
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