Accounts Assistant
                                        
                                        
                                            
                                                
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                                                                                                            United Kingdom - Surrey - Dorking - 
                                                                                                    
 
                                     
                                 
                                
                             
                         
                     
                    
                        
                                
                                    
                                        
                                        
                                            
                                                                                        £ 17 Per hour 
                                                                                    
                                     
                                 
                            
                            
                                
                                    
                                    
                                        
                                        Accounts Assistant
                                    
                                 
                             
                            
                                
                                    
                                    
                                        
                                        Temporary,Part -time
                                    
                                 
                             
                            
                         
                     
                    
                        Job Description
                        
	- Daily banking - checking all accounts for money received.
- Bank Reconciliation -Carry out a reconciliation of all client bank accounts monthly
- Credit Control - Each week check for overdue premiums and chase the clients accordingly.
- Statements - reconcile statements received from insurers and pay them accordingly.
- Allocate the payments.
- Sub-Agent statements - At the start of each month create and send out statements
- Process any policies from the website and allocate payments.
- Items Marked for Payment - At the start of the month send a list of policies
- Refund payments - Process any refunds to clients.
- Cash Reconciliation - complete cash reconciliation showing the brokerage and fees
 
                    
                    
                        
Required Knowledge, Skills, and Abilities