We are currently recruiting for a temporary role for 2 months, based in West London.
The responsibilities of the role include:
- Enter on a timely basis to finance system recharge invoices to international franchise and subsidiary partners
- Enter and allocate cash receipts on finance system on a timely basis to the correct control accounts
- Run on a periodic basis monthly statements and communicate to international franchise and subsidiary partners
- Reconcile on a periodic basis receipt control accounts
- Respond to international franchise and subsidiary partners queries in an efficient and timely manner.
- Assist Finance Manager / Regional Controllers with ad hoc queries and analysis
- Assist with the preparation of the weekly cash report including producing daily cash
- Assist the Financial Accounting team with balance sheet reconciliations, credit control, national statistics submissions
Candidates are required to have experience of the above duties and be able to start immediately.