Support the Group Support Accounts team in ensuring the monthly management accounts are completed to meet required deadlines Control and maintenance of cash books including reconciliation to nominal accounts and bank statements Issuing of manual cheques ensuring appropriate authorisation and costing Support the remainder of the Group Support Accounts team in understanding costs booked to the group support departments Overhead nominal analysis Accruals & Prepayments and associated ...
Barratt Developments - 2 years ago
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