Management Accountant Assistant
1 week ago
Responsibilities include:
- Banking and reconciling cash and cheque receipts
- Performing daily bank statement reconciliations
- Recording and reconciling sales ledger accounts
- Contacting customers for outstanding debts
- Implementing company credit check procedures
- Reconciling and recording daily bank statement payments
- Scanning and distributing purchase ledger invoices
- Reconciling supplier statements
- Producing month-end reports
- Paying creditors on time
Salary Expectations: £27,000 - £30,000 per annum based on industry standards and qualifications.
Why Work With Us: Nixon Caunce Associates is committed to providing a supportive work environment with opportunities for career growth and professional development.
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