This role is responsible for managing daily financial operations, such as invoicing, transaction processing, and cash flow reporting. You’ll collaborate closely with the Finance Manager to ensure finance processes align smoothly with the sales pipeline.
Key Responsibilities:
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Process invoices, bank transactions, and other daily financial activities
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Assist with tracking revenue and generating reports on cash flow and financial performance
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Support the Finance Manager (Jesper) in financial planning and reporting
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Maintain accurate and up-to-date financial records
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Help with preparing financial statements and reports as needed
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Perform reconciliations and support the month-end closing process