The business offer a fast paced dynamic environment to work in with dedicated individuals that are looking to learn, grow and develop as the business expands.
Duties:
* Review and process weekly trading information from sites.
* Ensure monies are received in the bank in a timely manner from all sources.
* Reconcile all joint venture events ensuring third parties are correctly accounted to.
* Compile weekly trading statistics.
* Ensure any trading anomalies are queried and escalated to senior management.
* Wage % input.
* Highlight trading inefficiencies, overspends, abnormally high discounts/ promotions etc.
* Assist with compilation of weekly payment proposal.
* Bank reconciliations.
* Ensure sites are operating within their sign off limits.
* Ensure invoice requests are submitted along with signed contracts.
* Assist with payroll processing/ reconciliations.
* Support Purchase Ledger.
* Support Credit Control.
* Support PRS submissions.
Person Spec:
* Experienced with reconciliation, assisting with year end and month end activities
* Excellent communication skills
* Experience of working in a fast paced environment
Salary description
£28000.00 - £30000.00 per year
