Purchase ledger duties including processing invoices, dealing with queries statement reconciliations.
General
Our exclusive client in Accrington is currently recruiting for an experienced Accounts Assistant to join their busy team and support the accounts team.
I am delighted to be partnering with a fantastic client as they add an experienced accounts assistant into the team.
This is an ideal role for individuals looking to be transactional experts, taking responsibility of the ledgers.
This role will need someone with an eye for detail, yet will be quite a straight forward role for someone with previous strong experience in this remit.
We have a fantastic new opportunity for you to join our Finance department and be part of a dynamic friendly team.
Service Name: Woodford Green Office - IG8 8HD
Who are Ambient Support
Ambient Support, a registered UK charity with over 25 years' experience in providing care and support services for older people, people with a mental health needs and people with learning disabilities.
We are looking for an Accounts Assistant to join our clients team, acting both individually and collaboratively to manage scheme bank accounts and prepare accounts for trust-based pension schemes.
Recording incoming cheques Weekly BankingPetty Cash Checking and Posting Invoices and Credit NotesOpening and Closing of Deposit AccountsWithdrawals and deposits to Deposit AccountsPreparing Daily BACS paymentsTaking Payment from Clients via card Taking Payments via the TelephonePreparing Weekly BACS PaymentsSending Remittance Advices to Suppliers to whom BACS Payments have been PaidFiling.
The Person
Demonstrated background in an Accounts department.
General
Nigel Wright are delighted to be recruiting an Accounts Assistant for my client in Gosforth.
A start- up private family office in Mayfair is seeking a Private Banking Assistant, preferably with fluency in Italian.
The company is an international financial servies boutique assisting with Financial, Business and Family needs based in Mayfair.
Responsibilities include assisting in keeping client files up to date, managing compliance including client on-boarding, chekcing on trade settlements as well as the production of monthly and quarterly client reporting and invoicing.