To be responsible for the provision of and reconciliation of company Sales Ledger & Purchase Ledger. Together with various other duties as required, as part of a small team in a busy accounts department.
Day to day control of sales and purchase ledger
Accurate and timely invoicing
Liaising with SOP for integrity of product description and price
Liaising with dispatch and transport for the provision of paperwork
Raising of credit notes and manual invoices for authorization
Credit and risk control
Sales ledger reconciliations of all debtors
Aged debtor reporting
To sort and answer customer queries
To maintain and reconcile cashbook
To maintain and reconcile cash receipts
Bank reconciliations
To file and maintain all information that may be requested at a later date