Essential Skills:
Daily bank reconciliations of Client and Office bank accounts to system ledgers
Review and allocate on a daily basis bank statement entries and outstanding unidentified receipts
Billing and raising sales ledger invoices and credit notes
Dealing with bank payments and transfers
Dealing with general queries from fee earners, staff and clients
Dealing with all aspects of Purchase Ledger, checking and inputting Purchase Ledger invoices and payment to suppliers
Cash collection and Sales Ledger management
Month-end reporting
Dealing with Land Registry and HMCTS statements
Posting and executing conveyancing transactional payments
Ensuring compliance with SRA accounts rules at all times
Liaising with bank and key suppliers
Ensure financial wellbeing of the firm and smooth running of the office
Recording, billing and monitoring of disbursement invoices received
Reference no: 10555
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