Job Description
The role requires hands on processing of a wide variety of accounting tasks, including:
- Responsibility for the purchase ledger function covering both stock and overhead invoices including the processing and paying of invoices and expenses on a timely basis.
- Ensuring the bank accounts are reconciled daily.
- Assisting with the companies finance facilities and bank software
- Processing other journals to ensure that the financial records are complete and up to date within the accounting system (currently Sage 200).
- Cover for, and assisting, the Finance Manager and credit controller when required.