Update the commission accounts for introducers, provide statements to introducers and deal with queries
Daily management of petty cash, dealing with requests and ensuring correct documentation received. Balance the petty cash at the month end with NO
BILLING
Propose draft invoices to be reviewed by heads of departments
Prepare draft invoices to be reviewed by office manager
Make changes to draft invoices and send to heads of departments for further review
Finalise invoices and send to clients
Deal with any queries from clients or colleagues regarding billing
BANKING
Enter all receipts from clients into the invoicing accounts to ViewPoint
Deal with any queries relating to monies received in the invoicing accounts
Deal with any queries from clients or colleagues regarding banking
Post Portugal office client receipts to ViewPoint from the weekly remittance received
DISBURSEMENTS
Issue cheques from requests received from departments for payment of disbursements
Record requests and ensure we hold correct records
Collect invoices from agents, and arrange settlement when funds have been received by clients
Keep good accounting records for the amounts paid to agents and update the databases
Required Knowledge, Skills, and Abilities
Part-qualified Accountant (ACCA, ACA) Experience in an accountancy or financial services environment. Experience of dealing with complex and detailed financial information. Prior experience of preparing Client Accounts and Trust Accounts would be an advantage. Detailed knowledge of accounting standards (IFRS, UK GAAP) and concepts