Some of your duties will include:
- Reporting to the Accountant working as part of a team supporting all areas of the accounts and finance function
- Assisting with the day to day management of the bought, sales and nominal ledger function
- Preparing cash book, reconciling bank statements and investigating any anomalies that occur
- Reconciling employee expense claims and processing monthly petty cash expenditure
- Helping with the credit control function and chasing overdue client payments when needed
- Assisting with the production of a wide range of financial month end reports
Reference no: 22479
Jobseeker
Recruiter