• Producing an accurate set of month-end accounts, with comparisons to forecasts and previous periods • Preparing profit and loss accounts and the balance sheet for senior management • Assisting in preparing budgets and business planning, including projected room revenue • Reconciling bank statements • Ensuring legislation is followed regarding VAT and PAYE • Chasing late payments, reporting bad debts and keeping a careful eye on the cash flow
Namizədə tələblər
• Ability to listen and communicate effectively • Ability to multitask efficiently • Strong organizational skills • QuickBooks online experience • Month-end close experience • Bank reconciliation experience • Detail-oriented and reliable with a professional attitude • Ability to work independently and with a team in a fast-paced and high-volume environment, with emphasis on accuracy and timeliness