Details:
- Salary: £24,500 - Annum
- Job Type: Contract
- Job Status: Full-Time
- Salary Per: Annum
- Location: Newton Aycliffe County Durham
- Date: 2 weeks ago
Description:
Finance Assistant
12 month FTC
£24,500 per annum
Jackson Hogg are delighted to be supporting a client based in Newton Aycliffe on the appointment of a Finance Assistant for a 12 month fixed term contract.
You will be responsible for supporting day to day transactions and providing financial admin support.
The main responsibilities of the role include:
* Support the management of the finance mailboxes, ensuring that e-mails are responded to, and queries are dealt with in a timely manner.
* Process purchase orders and supplier invoices via the purchase to pay (P2P) system, including the review and monitoring of any discrepancies or queries.
* Ensure all invoices and expenses are coded correctly and authorised in line with company policies and procedures.
* Ensure all expenses payments are processed in a timely manner and recorded accurately. This includes petty cash, credit card requests, travel requests as well as general expenses.
* Manage supplier queries, ensuring queries are resolved and responded to effectively, or escalating to line manager where required to enable a timely response.
* Maintain and create supplier management records accurately and in line with policies and procedures.
* Perform supplier statement reconciliations, ensuring that any discrepancies are rectified or escalated to line manager.
* Support with the preparation of supplier payments in line with payment policies and procedures.
* Support daily bank account reconciliations and ensure that all reconciling items are cleared and reflected in the general ledger accurately and on a timely basis.
* Produce daily cash flow management information.
* Prepare and process month end accruals and prepayments as required.
* Prepare and process allocated premises re-allocations, reviewing accruals and prepayments in line with month end deadlines.
* Perform other allocated balance sheet reconciliations in line with month end and year end deadlines.
* Production of monthly accounts payable report, including detail of findings to be discussed with Senior Finance Assistant.
* Run and analyse the accounts receivable report and ensure all income is allocated correctly