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Accounts Executive

Farazy Hospital Ltd.

United Kingdom

On-site

GBP 30,000 - 45,000

Full time

13 days ago

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Job summary

A healthcare facility in the United Kingdom is seeking a qualified Senior Accounts Executive to join its finance team. This role is essential for ensuring the accuracy of financial operations, involving responsibilities such as financial reporting, budget preparation, and maintaining financial records. Candidates should be detail-oriented and have experience in accounting. This opportunity offers a chance to work collaboratively with various departments within the hospital.

Qualifications

  • Experience in financial reporting and preparing financial statements.
  • Knowledge of budget preparation and budgetary control.
  • Ability to assist in preparing cash flow statements.

Responsibilities

  • Prepare monthly financial reporting and statements.
  • Assist in budget preparation and control.
  • Maintain and prepare financial vouchers and registers.

Skills

Detail-oriented
Financial reporting
Budget preparation
Cash flow management
Job description
Overview

Farazy Hospital Ltd is seeking a qualified and detail-oriented Senior Accounts Executive to join our growing finance team. This position plays a vital role in ensuring the accuracy and efficiency of the hospital's financial operations. You will be responsible for a variety of accounting tasks, while working collaboratively with the Accounts team and other departments.

Job Description / Responsibility
  • Financial Reporting (after-month reporting, income statement, profit & loss analysis & month wise ledger balance check) and Preparation financial statement trial balance, Income Statement, and Balance Sheet.
  • Assist in preparing Balance sheets and income statements.
  • Assist in preparing budget and budgetary control.
  • Preparation of Salary Sheet.
  • Assist in preparing business plans and variation analysis statements.
  • Prepare and submit various accounts related report as per the requirement of the management.
  • Assist in the preparation of cash flow statements.
  • Preparation of other need-based reports according to higher management order.
  • Monitoring bill & voucher preparation & posting to the system.
  • Maintain & prepare all kinds of vouchers, cash book, bank book, bill register, general ledger & different registers related to finance & accounts.
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