Job Search and Career Advice Platform

Enable job alerts via email!

Trainee Accounts Assistant

Capital Outsourcing Group

York and North Yorkshire

On-site

GBP 40,000 - 60,000

Full time

3 days ago
Be an early applicant

Generate a tailored resume in minutes

Land an interview and earn more. Learn more

Job summary

A dynamic finance organization in York and North Yorkshire is seeking candidates for a finance role offering opportunities for growth and development. The position requires some form of finance qualification and involves responsibilities such as preparing month-end files, supplying financial information for consolidation, and closing the general ledger. Benefits include flexible hours, 22.5 holidays, healthcare, and pension scheme.

Benefits

37 hours per week with flexible-time available
22.5 days holidays and 8 bank holidays
5% pension salary sacrifice
Private healthcare
Car parking - own transport required

Qualifications

  • Some form of finance qualification is required, and graduates will be considered.

Responsibilities

  • Preparation of month end files.
  • Supplying timely financial and management information for monthly consolidation.
  • Assistance in the monthly close of the general ledger.
  • Processing of standard monthly journal entries.
  • Review and rationalisation of trial balance.

Education

Finance qualification
Job description
Working Hours & Benefits

37 hours per week 8.30am to 4.30pm Mon-Thurs and 4pm Friday with a 30 minute unpaid lunch break. Flexi-time is available.

The Finance team get 2 Fridays off every month after month-end reporting.

22.5 days holidays and 8 bank holidays

5% pension salary sacrifice

Private healthcare

2 x base salary life insurance

Car parking - own transport required due to location

Opportunity

Fantastic opportunity to join a company who will support your continued growth and development with both comprehensive training and additional qualifications. You should have some form of finance qualification and graduates will be considered.

Responsibilities
  • Preparation of month end files.
  • Supplying timely financial and management information for monthly consolidation.
  • Assistance in the monthly close of the general ledger, processing of standard monthly journal entries, review and rationalisation of trial balance, reconciliation of key control accounts pre-close.
  • Assistance with the compilation of the monthly reporting pack for consolidation to agreed deadlines.
  • Collation of ad-hoc management information for Financial Controller.
  • ...
Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.