This business is easily commutable by car from Doncaster, Rotherham and Barnsley. They can offer really rewarding careers in a supportive and grown up environment, because of this they have an excellent staff retention record. They are looking for a suitable candidate who ideally already has some experience in a similar role that they can train and develop as the business continues to expand.
Duties for this role will include;
-Maintaining cash book records for each client on the accounting system used
-Dealing with the Accounting for Tax Quarterly Returns for clients
-Monitoring cash flows
-Providing cash management information for meetings, client reports, if required
-Weekly check of bank accounts report i.e. balance, BACS rejections, unusual transactions
-Monthly Bank Statement reconciliation report
-To provide assistance as required by the Pension Fund Accountant in the preparation of the draft Trustees' Report & Accounts for clients of Trust-Based Pensions
-Control the bank opening process for new and transitioning clients
-Any other cash management and accounting duties as required by the business
-Processing new pensioners, leavers, deaths and one-off payments
-Processing and submitting monthly payrolls, including RTI
-Issuing of monthly payslip files to outsourcing company
-Submitting statutory year end returns and issuing P60s files to outsourcing company
-Making appropriate ledger entries in the accounting system in respect of pension payrolls
-Dealing with HMRC on issues such as the reconciliation of PAYE differences
Reference no: 47558
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