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Finance Graduate

Marks Sattin

Key Responsibilities

  • Assisting with the preperation of monthly management accounts, including balance sheet reconciliations.
  • Processing purchase invoices, including appropriate checks and reconciliations
  • Cash reconciliations
  • Assisting with supplier payments
  • Review & analysis of venue timesheets to ensure timely and accurate reporting
  • Assisting with payroll and payroll related tasks
  • Assisting with weekly financial reporting & analysis
  • Maintain an orderly accounting filing system
  • Ensure quality control over financial transactions and financial reporting
  • Continuous support of Finance Team members, processes and procedures

Skills and Experience

  • Entry Level


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