Reporting to the Management Accountant, the role offers responsibility for all aspects of maintaining the Purchase Ledger for three separate trading companies including reconciliation of cash books
Duties, Responsibilities and Accountabilities
*Input purchase invoices/credit notes for the three trading companies, ensuring appropriate authorisation and coding.
*Reconciliation of e supplier statements.
*Raise cheque/BACS payments.
*Raise manual cheques as and when required.
*Review the Purchase Invoice registers on a bi-monthly basis.
*Deal with supplier telephone calls and queries.
*Set up supplier credit terms.
*Maintain CIS records and submit returns.
*Maintain the computerised cash books and undertake cash book bank reconciliations.
*Analyse Inter Company recharges and input.
*Other ad hoc duties as required.
- Accounts Assistant
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