We have an excellent role newly vacant within an expanding, international company in Nicosia, business activities globally. The ideal candidate is based in Nicosia or Larnaca happy to travel into the office 2-3 days a week and work with local and remote colleagues in English.
The successful person will be savvy and experienced in transactional ledgers and accounting principles, able with minimal training to join and add value to this growing team.
Job Description
- Manage and complete tasks: Accounts Receivable, Accounts Payable, and Cash ledgers
- Assist in the preparation of prepayments, accruals, and other month-end tasks under the guidance of the Finance Manager
- Contribute to month-end reporting activities to ensure accurate financial information
- Conduct cash flow forecasting to support financial planning and decision-making
- Provide support in payroll and tax-related activities
- Maintain and update the fixed asset register to track company assets effectively
- Perform balance sheet reconciliations to ensure accuracy and completeness
- Undertake ad hoc financial tasks as assigned
Your Profile
- Intermediate Excel skills
- Degree in accounting or part-qualified/qualified by experience
- Previous experience in an accounting role, 3+ years
- Experience with Microsoft Dynamics 365 (Navision) and/or QuickBooks
- Proficiency in managing AP, AR, and cash ledgers
- Solid proven experience in Management accounts
- Fluency in English essential, both spoken and written
Benefits
- Hybrid working model (2 days WFH)
- Two annual bonuses
- Provident fund after 1st year