The Role
This role will invole working within a team of people and will require daily procedures to be carried out. Duties include:- Assistance with processing & posting cash flow transactions, daily debit/credit control, checking and issuing fee notes & invoice reminders, day to day liaison with banks, bank reconciliations, monitoring of ledger balances, dealing with outlays, expenses claims and journal transfers.
Salary & Benefits
£20k - 25days holiday Excellent Career progres |