Undertake the day-to-day input onto the accounting system and the maintenance of financial records
Experience of Sage an advantage
Reconciling Bank statements to the Company’s main financial records for all reporting entities on a daily , monthly basis updating the daily cash flow forecasts and updating job cost reports on a real time basis.
Train on sales invoices, customer receipts and credit control and be able to deal with queries.
Process purchase invoices, supplier payments and deal with queries.
Process monthly credit card statements
Assist FD with any month end related tasks when required
Train on payroll all related tasks to be able to provide holiday cover when needed
Produce payment runs for suppliers in conjunction with the Finance Manager
Assist with the preparation and monitoring of the monthly cash flow forecast.
Training with the Finance Manager to take on more tasks as needed
Be the main point of contact for specific suppliers for all queries and issues
Train on currency conversions in line with the external brokers.