Maintain accurate financial records and support the finance function across the Group, ensuring efficient bookkeeping, compliance and financial administration across multiple jurisdictions.
Key responsibilities:
⭐ Process payments, invoices, expenses and maintain financial records and ledgers
⭐ Complete bank reconciliations, billing, debtor management and accounts payable/receivable
⭐ Support month-end and year-end processes, payroll and regulatory reporting
⭐ Maintain finance systems, business trackers and support audits and compliance requirements
⭐ Respond to finance queries and assist with reporting and process improvements
What you’ll need:
⭐ Experience in bookkeeping or finance administration
⭐ Knowledge of double-entry bookkeeping and accounting software (e.g. Xero or QuickBooks)
⭐ Strong Excel and Microsoft Office skills
⭐ Excellent organisation, accuracy and attention to detail
⭐ Professional, proactive approach with the ability to work independently and as part of a team
Why join?
⭐ Join a modern, independent business with a collaborative and supportive culture
⭐ Gain exposure to finance operations across multiple jurisdictions
⭐ Work in a varied, hands-on role with opportunities to improve processes and systems
⭐ Benefit from flexible part-time hours and opportunities for professional development