Accounts Assistant

Key Group

Preston

On-site

GBP 20,000 - 28,000

Full time

4 days ago
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Benefits offered by this job

23 days holiday
Holiday purchase scheme
Charity day
Pension (5% employee, 8% employer)
Simply Health
Life Assurance

Job summary

More2Life, part of The Key Group, is hiring a Temporary Accounts Assistant in Preston for a 3-month period. You will support the transactional finance team, ensuring accurate posting of financial transactions and timely processing of interface files.

The role requires experience with computerised accounting systems, posting to multiple ledgers, and proficient use of MS Office. We value accuracy, collaboration, and customer-focused service.

Qualifications

  • Experience of computerised accounting systems.
  • Experience of posting to multiple ledgers (Nominal, Sales, Purchases).
  • Ability to use MS Office packages and maintain data accuracy.

Responsibilities

  • Process system generated interface files.
  • Monitor fund requests and reconcile facility balances.
  • Post financial transactions into the accounting system across multiple companies.
  • Produce broker commission payments and statements.
  • Reconcile bank accounts and post to the general ledger.

Skills

Accounting software
Ledgers
Excel
Data accuracy

Tools

Sage 50
Excel

Job description

More2Life is part of the Key Group of companies and has been a pioneering force in the Equity Release market since its launch in 2008. Today, operating from our offices in Preston, we help over 1000 people every month to confidently release cash from their homes, significantly growing year on year to become one of the largest lifetime mortgage lenders in the UK.

We are hiring for a Temporary Accounts Assistant to join our busy transactional finance team for a period of 3 months. As our Accounts Assistant you will be responsible for ensuring that all more2life financial transactions within your remit are accounted for accurately and on a timely basis and to support key stakeholders as and when required.

Main duties and responsibilities
  • To process system generated interface files
  • To monitor fund requests and reconcile facility balances
  • To post financial transactions into the accounting system in a timely and accurate manner into multiple companies
  • To produce broker commission payments and statements
  • To reconcile bank accounts and post transactions to the general ledger.
Key knowledge, skills and experience
  • Experience of computerised accounting systems.
  • Experience of posting to multiple company Nominal, Sales and Purchase ledgers.
  • Experience of working with Microsoft Office packages.
  • Awareness of the importance of processing and posting data accurately.
Most of all we look for people who display and work around the core values of our business
  • Ambitious - to break ground to help our customers enjoy a better retirement.
  • Supportive - relationships are key to everything we do.
  • Personal - going above and beyond to offer exceptional service.
  • Integrity - honest, true and transparent in all our relationships.
  • Responsive - whatever the challenge we'll deliver the right result.
  • Expert - experts in our field, our thirst for knowledge never stops
Benefits
  • 23 days holiday, plus bank holidays. Rising to 28 based on length of service.
  • Additional holiday purchase scheme
  • 1 charity day
  • Tier 1 pension (5% Employee, 8% Employer)
  • Simply Health
  • Life Assurance
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