An opportunity has arisen to join a successful business in North West London.
Reporting to the Financial, you will take responsibility the budgeting, cash flow forecasting, fixed assets, VAT Returns, Accruals, prepayments and analysis for part or the business.
Successful candidates will require significant experience in a similar role and ideally possess solid Excel skills and be generally “systems savvy”.
After 3 months, you will have the option to work remotely for most of the week, along with a comprehensive benefits package.