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Accounts Assistant

TN United Kingdom

Croydon

On-site

GBP 25,000 - 35,000

Full time

2 days ago
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Job summary

Hydro Cleansing is seeking an enthusiastic Accounts Assistant to join their team in Croydon. The role involves managing purchase ledgers, payroll processing, and assisting with financial records. Ideal candidates will have relevant qualifications like Part Qualified AAT, CIMA, or ACCA.

Qualifications

  • Part Qualified AAT, CIMA, ACCA, or equivalent qualification.

Responsibilities

  • Processing of the monthly and weekly payroll.
  • Production of aged debtor reports.
  • Assisting with the production of the balance sheet and profit & loss statements.

Skills

Financial record maintenance
Payroll processing
Bank reconciliations
Dealing with supplier queries
Month-End Procedures

Education

Part Qualified AAT, CIMA, ACCA

Job description

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Hydro Cleansing is looking for an enthusiastic Accounts Assistant to join our vibrant team in the Croydon area.

Hydro Cleansing Ltd (HCL) is a leading provider of Environmental Services in London and the South East, offering fast, responsive and highly effective services. The accounts department has its own custom build CRM, SAGE 50 Payroll, and Accounts Cloud Infrastructure. New updates from the in-house software team are rolled out regularly.

Role Title: Accounts Assistant
Job Description:

As part of the Accounts team, the Accounts Assistant will take on a varied role, responsible for the purchase ledger and preparing and maintaining other financial records. You will report to the Group Financial Controller and assist with all aspects of accounts, including the preparation of monthly management accounts.

Responsibilities:
  • Processing of the monthly and weekly payroll
  • Production of aged debtor reports
  • Assisting with the production of the balance sheet and profit & loss statements
  • Bank reconciliations for multiple accounts
  • Ensuring all purchases are supported by authorised purchase orders
  • Dealing with supplier queries via telephone and email
  • Handling sales ledger queries both externally and internally
  • Assisting with Month-End Procedures
  • Preparing and posting Month-End Journals
  • Managing prepayments and accruals
Experience and Qualifications:
  • Part Qualified AAT, CIMA, ACCA, or equivalent qualification
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