Manager - Accounts & Finance
Topstar Group
United Kingdom
On-site
GBP 30,000 - 45,000
Full time
Job summary
A financial services company in the United Kingdom is looking for an experienced accounting professional to oversee day-to-day financial activities. The role involves preparing vouchers, reconciling bank accounts, and generating financial statements. Strong knowledge of advanced Excel and the ability to communicate with stakeholders are essential. This position provides an opportunity to contribute significantly to the company’s financial management.
Qualifications
- Experience in accounts and financial activities.
- Ability to prepare financial statements accurately.
- Good communication skills with stakeholders.
Responsibilities
- Monitor and record financial activities accurately.
- Prepare all types of vouchers and check daily transactions.
- Reconcile bank accounts on a daily and monthly basis.
Skills
Knowledge in accounting software
Financial reporting
Advanced Excel skills
Vendor management
Bank reconciliation
- Monitor and ensure day-to-day Accounts and financial activities are appropriately recorded in software with accuracy.
- Prepare all kinds of vouchers, Check daily transactions.
- Reconcile the Bank Accounts daily basis and monthly basis.
- Report: Income statement, Balance sheet, Cash flow & others necessary statements.
- Maintain professional relationships with vendors, clients, or other stakeholders related to financial matters, resolving queries or issues as needed.
- Maintain vendor's payable statement and calculate VAT & TAX as per Bangladesh govt. rules.
- Preparing reports for the AD bank (Inward & Outward Remittance).
- Perform all F&A activities of the Company assigned by the Management from time to time.
- Communicate with overseas agent.
- Maintain petty cash.
- Prepare sales reports.
- Must have very good knowledge in excel (advance level).