- Print and file supplier invoices and statements
- Match supplier invoices to orders and process
- Completing export spreadsheets
- Check and file supplier statements
- Send out customer statements
- Allocate cash against customers / cash accounts on a daily basis, based on bank statement supplied
- Processing the journal for bank receipts and payments
- Maintain Supplier BACS records
- Maintain Customer and Supplier records on exchequer
- Checking post and circulating accordingly
- Ad hoc administration duties such as ordering parts and answering incoming telephone calls
Reference no: 50219
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