Use of company's accounting system, assisting with the achievement of implementing new processes within the company on using payscan/ conducting staff training.
Reviewal and approval of invoices, as well as processing invoices, in order to complete payment runs, and preparation of tenant refunds
Accounts receivable - creating accurate invoices, creating charges and receivables, assuring the receipt of payable from vendor.
Monthly Bank Reconciliations
Journal entries of various types, Petty cash or month end Journals regarding corrections or inter-company transfers.
Assisting with accruals and pre-payment calculations during month end
Assisting with month end reporting - liaising with other departments to assure correct figures.
Assisting with Audit queries regarding payable and revenue samples
Improving process of sending remittances by updated emails of suppliers, and assuring they are sent in timely manner.
BACS, Priority Payments, Inter-co transfers on banking system (HSBC, Bank of Ireland)
Job Offer
Looking to pay up to £30,000 with study support.
Required Knowledge, Skills, and Abilities
Previous accounts payable/processing of invoices experience Yardi system experience Strong academic background preferred; educated to A-Level and further. Studying towards or looking to study towards a professional qualification: ACCA, AAT