JOJU SOLAR is looking for employees for positions:
hr manager
Salary
salary
Responsibility
advising on remuneration and processing changes
project accountant
Requirements
analysis Reports
pivot Tables
project Accounting
Benefits
laptop
Responsibility
analysing job costs and margin on jobs and producing financial analysis reports on a portfolio of projects
reconciliation of job ledger to general ledger
monthly project WIP reviews with multiple PM’s and cost value reconciliations
recognition of revenue and margin on jobs using percentage completion methodology
ownership of the project ledger and variance analysis to budget
providing project accounting information to accounts to facilitate the production of weekly cash flow reports
first point of contact for your allocated department for Project related matters. Working with department head and a number of Project Managers covering hundreds of projects
assisting FD with adhoc reports and tasks
accounts manager
Requirements
bank Reconciliations
cash Flow
credit Cards
debtors
sales Invoices
Responsibility
sales Ledger / Credit Control
start to finish processing and control of Receivable ledger
processing all authorised sales invoices according to company practices
ensure Receivable ledger account balances to Nominal ledger
control credit card payments and postings
ensure that cash, cheques and BACS payments received are posted to the accounts
proactive credit control and regular chasing payments and weekly aged debtors reporting
manage and reconcile CIS records including the associated calculations and submissions to HMRC
financial controller
Requirements
advanced Excel
cash Flow
budgeting
cash Management
project Management
rapid Growth
self-motivated and ability to work with limited supervision
Responsibility
experience with rapid growth business
experience with a Turnover business of over £20 million plus
experience with managing a complex cash flow and predicting short-, mid- and long-term cash positions. Improving systems to help this process
experience with managing a complex cashflow and predicting short-, mid- and long-term cash positions. Improving systems to help this process
experience in system change and the ability to streamline and make improvements
experience with a project based business
yearly Budget and cash flow preparation with regular updated rolling positions
yearly Budget and Cashflow preparation with regular updated rolling positions