Accounts Assistant
- Recruiter
- Kenneth Brian Associates Limited
- Location
- Guildford
- Salary
- £24000-£25000
- Posted
- 02 Oct 2019
- Closes
- 14 Nov 2019
- Ref
- 207339942
- Job role
- Accounts assistant
- Sector
- Accounting - Public practice
Kenneth Brian Associates are working on an exclusive basis with a leading Services business in Guildford, looking to hire an Accounts Assistant for their growing finance team. This is an excellent and varied opportunity for a candidate looking to gain further
exposure to month-end processes and to progress a career in finance. This position will suit a candidate either currently studying AAT or with some finance experience looking to study ACCA or CIMA, with strong communication skills, able to liaise confidently with internal and external customers. Key Responsibilities:- * Assist with and coordinate all billings * Purchase Ledger, processing invoices and payments * Supplier statement reconciliation * Assist the Management Accountant with the preparation of cash flow forecasting, annual budgets, re-forecasting and monthly management accounts. * Take ownership of monthly corporate credit card reporting and reconciliations * Daily posting of bank payments and receipts * Bank reconciliations * Support with Balance Sheet Reconciliations * Set up of purchase orders where required * Processing monthly staff expense claims ensuring in line with company policy * Assist with the preparation of quarterly VAT and EC Sales Submissions * Assist with the year end Audit This role offers an excellent benefits package.
exposure to month-end processes and to progress a career in finance. This position will suit a candidate either currently studying AAT or with some finance experience looking to study ACCA or CIMA, with strong communication skills, able to liaise confidently with internal and external customers. Key Responsibilities:- * Assist with and coordinate all billings * Purchase Ledger, processing invoices and payments * Supplier statement reconciliation * Assist the Management Accountant with the preparation of cash flow forecasting, annual budgets, re-forecasting and monthly management accounts. * Take ownership of monthly corporate credit card reporting and reconciliations * Daily posting of bank payments and receipts * Bank reconciliations * Support with Balance Sheet Reconciliations * Set up of purchase orders where required * Processing monthly staff expense claims ensuring in line with company policy * Assist with the preparation of quarterly VAT and EC Sales Submissions * Assist with the year end Audit This role offers an excellent benefits package.