- Workplace
- Hybrid
- Type
- Full-time
- Education
- Master
- Source
- RecruiterFlow
Description
- Inputting, processing and posting purchase and sales invoices
- Managing daily bank reconciliations
- Reconciling supplier statements and intercompany accounts and following up on discrepancies
- Ensuring invoice queries are dealt with efficiently
- Maintaining and updating the cash book
- Reconciling cash book entries with bank statements
- Preparing and posting journals
- Assisting with balance sheet reconciliations
You will have worked in a similar role and will be AAT part or fully qualified or qualified by experience.
This is a fantastic opportunity for someone who thrives in a varied role and who enjoys working in a small team.
The company offer excellent benefits and hybrid working.