The ideal candidate for this position will have a drive to learn, have at least 1 years of experience in transactional finance & want to progress towards an accredited qualification. Please see below the responsibilities -
Responsibilities
Posting of supplier invoices/reconciliation of supplier accounts.
Management and posting of company credit card and staff expenses.
Bank reconciliations and posting bank transactions.
Accounts receivable support including raising invoices and resolving customer queries.
Supplier payment runs and remittance advice generation.
Supplier queries management, new supplier onboarding.
Assisting with the production of monthly management accounts (including preparing and posting month end journals).
Fixed asset register maintenance and posting of depreciation, setting up of new fixed assets.
To support the Accounts Payable/Receivable coordinator with monthly Aged Debtors/Aged creditors reviews and reconciliations.
Resolving ad-hoc queries for both internal/external contacts.
Assisting the year-end and annual audit and preparation of the statutory accounts.