Finance Contractor

YunoJuno

Greater London

On-site

GBP 55,000 - 83,000

Full time

10 days ago
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Job summary

YunoJuno is seeking a Finance Contractor to manage and maintain accurate financial transactions for overseas entities, including postings, AP/AR, and reporting support.

You will perform mult i-currency bank reconciliations, post intercompany entries, and ensure ledgers are clean and fully referenced. Strong attention to detail and clear communication with suppliers, customers, and external accountants are essential.

Qualifications

  • Solid experience in a transactional finance role (bookkeeper, AP/AR specialist, or accounts assistant).
  • Experience working with overseas or multi-entity structures.
  • Strong double-entry bookkeeping fundamentals; postings are accurate first time and fully referenced.

Responsibilities

  • Post overseas entity transactions including bank entries, journals, accruals and prepayments.
  • Perform bank reconciliations across multiple currencies and accounts.
  • Post and reconcile intercompany transactions between entities.
  • Maintain clean, well-referenced ledgers so that every posting is traceable to source documentation.
  • Process supplier invoices: coding, entry and matching to approvals in line with the delegation of authority.
  • Prepare payment runs for review and approval, including foreign currency payments.
  • Reconcile supplier statements and resolve discrepancies.
  • Assist with the AP inbox and respond to supplier queries promptly and professionally.
  • Raise and issue sales invoices accurately.
  • Allocate customer receipts and reconcile customer accounts.
  • Assist with the AR inbox and respond to customer queries promptly and professionally.
  • Support month-end close for overseas entities: reconciliations, ledger reviews, and close checklists.
  • Assist with information requests from external accountants, auditors, and local compliance providers.

Skills

Accounts payable
Accounts receivable
Intercompany accounting
Bank reconciliations
Month-end close
Multi-currency experience
Attention to detail
Communication skills

Job description

We are seeking a Finance Contractor responsible for managing and maintaining accurate financial transactions for overseas entities. This role includes overseeing transaction postings, managing accounts payable and receivable, and providing reporting support.

What you will do
  • Post transactions for overseas entities accurately and on time, including bank transactions, journals, accruals, and prepayments
  • Perform bank reconciliations across multiple currencies and accounts
  • Post and reconcile intercompany transactions between entities, ensuring intercompany balances agree at each period end
  • Maintain clean, well-referenced ledgers so that every posting is traceable to source documentation
Accounts payable
  • Process supplier invoices: coding, entry, and matching to approvals in line with the delegation of authority
  • Prepare payment runs for review and approval, including foreign currency payments
  • Reconcile supplier statements and resolve discrepancies
  • Assist with the AP inbox and respond to supplier queries promptly and professionally
Accounts receivable
  • Raise and issue sales invoices accurately
  • Allocate customer receipts and reconcile customer accounts
  • Assist with the AR inbox and respond to customer queries promptly and professionally
Reporting support
  • Support month-end close for overseas entities: reconciliations, ledger reviews, and close checklists
  • Assist with information requests from external accountants, auditors, and local compliance providers
What we are looking for
  • Solid experience in a transactional finance role (bookkeeper, AP/AR specialist, or accounts assistant)
  • Experience working with overseas or multi-entity structures
  • Strong double-entry bookkeeping fundamentals; postings are accurate first time and fully referenced
  • Organised, self-directed, and reliable: able to run a repeatable weekly and monthly cycle without close supervision
  • Clear written communication for supplier, customer, and internal queries
  • High attention to detail and a habit of reconciling rather than assuming
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