Job Description
Maintain existing financial systems including petty cash, expenses, claims, income, and expenditure records. Process all payments through Cash flow and monthly bank reconciliation. Work with the Finance Manager to improve existing systems. Assist in the preparation of annual accounts. Assist with project financial related work as required.
Job Specification
Strong administration & financial background.
Excellent understanding of using Microsoft Office.
Ability to do multi-task as desirable.
Experience of Cash flows problems solving.