Key Responsibilities
- To accurately prepare the accounting ledgers for designated companies, including sales and purchase invoicing, bank accounts, bank reconciliations, cash management, and month-end reporting.
- To ensure timely and accurate processing and payment of purchase invoices. To include preparation of payment runs in line with supplier terms and all other ad hoc payment requirements.
- Responsible for a diverse range of administration duties.
- Maintain an appreciation and up-to-date knowledge of Financial systems, policies & initiatives as required
- Preparation of client data.
Skills, Knowledge and Expertise
- AAT Level 2
- Relevant practical experience in an accounts position.
- Purchase Ledger experience.
- Knowledge & practical application of Financial data management systems.
- Experience with a diverse range of computer programmes and finance packages
- Experience of VAT rules & guidelines.
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Consultant
Laurie Elder
At Jackson Hogg, Laurie built the transactional finance function and now specialises in part-qualified and newly-qualified finance recruitment, managing the transactional team. Laurie joined Jackson Hogg in 2021 after graduating Newcastle University with a French and Business Studies Degree. Laurie enjoys going to the gym in her free time and is a big Newcastle United fan.
Team Leader - Finance
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