Finance Assistant

Terry Parris Associates Ltd

Goring-by-Sea

On-site

GBP 27,000 - 28,000

Full time

42 hours ago
Be an early applicant
Application generator

Stand out for this role — generate a tailored resume and cover letter in about a minute.

Get past ATS filters

Job summary

Terry Parris Associates Ltd seeks a Financial Associate to support their accounting team in a 1-month temporary position at Goring-by-Sea, West Sussex. The role covers purchase ledger, sales ledger, banking, reconciliations and credit control, reporting to the Financial Manager.

Typical duties include processing invoices, reconciling ledgers, and assisting with month-end tasks. The ideal candidate will be organised, accurate and able to work to deadlines, with a proactive approach to resolving

Qualifications

  • Experience in purchase and sales ledgers
  • Experience with banking and reconciliations
  • Familiarity with month-end processes and credit control
  • Ability to investigate discrepancies in accounting records
  • Proficient in Excel and Microsoft Office tools

Responsibilities

  • Process supplier invoices and credit notes accurately
  • Match invoices to purchases orders and supporting documents
  • Prepare supplier payments and maintain supplier records
  • Raise customer invoices and allocate receipts
  • Monitor outstanding customer balances and assist with credit control
  • Post bank transactions and perform reconciliations
  • Prepare routine journals and balance sheet reconciliations
  • Assist with budgeting and year-end processes

Skills

Sage 50
Numerical skills
Attention to detail
Time management
Organisational skills
Communication skills
Discrepancy investigation
Independent worker
Confidentiality

Education

AAT qualification

Tools

Sage 50

Job description

  • £16.00-£17.00 per hour PAYE
  • Full-time temporary role, duration TBC
  • Purchase ledger, sales ledger, banking, reconciliations and credit control exper
Financial Associate
JOB DESCRIPTION

Department
Finance
Location
Goring-by-Sea, West Sussex
Reporting to
Financial Manager
Employment type
Full time, temporary role
Duration
1 Month

Role Purpose
Our client requires support for 1 month in their accountancy department, The Accounts Assistant will provide day-to-day support to the Finance team, helping to ensure that financial transactions are processed accurately and promptly and that accounting records are complete and up to date.

The role will have responsibility for routine purchase ledger, sales ledger, banking and reconciliation activities, together with supporting month-end reporting, credit control and other finance processes across the Group.

The successful candidate will be organised, accurate and comfortable working to deadlines, with a willingness to take ownership of routine finance processes and investigate discrepancies when they arise.

Key Responsibilities
Purchase Ledger
  • Process supplier invoices and credit notes accurately and promptly.
  • Match invoices to purchase orders and other supporting documentation.
  • Check appropriate nominal coding, VAT treatment and authorisation.
  • Reconcile supplier statements and investigate differences.
  • Follow up missing invoices, credit notes and outstanding queries.
  • Assist with the preparation of supplier payment runs.
  • Maintain accurate supplier records.
Sales Ledger and Credit Control
  • Raise and process customer invoices and credit notes.
  • Allocate customer receipts against outstanding invoices.
  • Monitor outstanding customer balances.
  • Issue customer statements and payment reminders.
  • Assist with credit control and the collection of overdue accounts.
  • Investigate and resolve customer account queries.
Banking and Expenses
  • Post bank transactions accurately and on a timely basis.
  • Complete regular bank reconciliations.
  • Process and reconcile company credit card transactions.
  • Process employee expense claims and supporting documentation.
  • Investigate unidentified or incorrectly allocated receipts and payments.
General Ledger and Reconciliations
  • Prepare and post routine accounting journals as required.
  • Maintain supporting schedules for accruals and prepayments.
  • Complete assigned balance sheet reconciliations.
  • Assist with intercompany transactions and reconciliations.
  • Review transactions to ensure they have been posted to the appropriate nominal code, department or cost centre.
  • Investigate and resolve reconciliation differences.
General Finance Administration
  • Maintain organised and accurate electronic finance records.
  • Respond to routine queries from customers, suppliers and colleagues.
  • Obtain appropriate approvals and supporting documentation for transactions.
  • Maintain finance spreadsheets and supporting schedules.
  • Assist with budgeting and forecasting activities where required.
  • Provide support during the annual audit and year-end accounts process.
  • Assist with improvements to finance procedures, controls and systems.
  • Undertake other reasonable finance duties as required.
Key Skills and Experience
  • Good working knowledge of Sage 50 (or a very similar accounting system) is highly desired but not essential.
  • Good numerical and analytical skills.
  • High attention to detail and accuracy.
  • Good organisational and time-management skills.
  • Ability to prioritise tasks and work to deadlines.
  • Good working knowledge of Microsoft Excel and other Microsoft Office applications.
  • Clear written and verbal communication skills.
  • Ability to investigate discrepancies and resolve routine accounting queries.
  • Ability to work independently while contributing effectively as part of the Finance team.
  • A professional approach when dealing with confidential financial information.
Qualifications

A relevant accounting qualification or progress towards an accounting qualification such as AAT would be advantageous but is not essential where the candidate has suitable practical experience.

Support for further professional development may be considered in line with the requirements of the role and the business.

Personal Attributes
  • Accurate and methodical.
  • Reliable and conscientious.
  • Proactive in following up queries and outstanding items.
  • Comfortable taking responsibility for recurring tasks.
  • Able to maintain confidentiality.
  • Willing to learn and develop accounting knowledge.
  • Capable of building positive working relationships with colleagues, customers and suppliers.
Get your free, confidential resume review.

or drag and drop your file here.

Similar jobs

Similar jobs worth comparing

Finance Assistant
Finance Assistant

Terry Parris Associates • Goring-by-Sea

On-site
GBP 18,000 - 24,000
Finance Assistant
Finance Assistant

Harvey John Recruitment • Lancing

On-site
GBP 30,000 - 31,000
Study support for accountancy
Finance Assistant
Finance Assistant

Envirocleanscotland • East Kilbride

On-site
GBP 26,000 - 34,000
Accounts Assistant
Accounts Assistant

Benchmark Capital Limited • Horsham

On-site
GBP 21,000 - 27,000
Finance Assistant
Finance Assistant

AWD online • Ross-on-Wye

On-site
GBP 25,000 - 35,000
Assistant Financial Accountant
Assistant Financial Accountant

Personnel Selection • Andover

On-site
GBP 30,000 - 42,000
Finance Assistant
Finance Assistant

First Recruitment Services • Willingdon

On-site
GBP 37,195,000 - 42,706,000
Accounts Assistant
Accounts Assistant

MTrec • North Shields

On-site
GBP 21,000 - 27,000
Full-time and permanent
Weekdays 8am-5pm
Progression opportunities
+1
Accounts Assistant
Accounts Assistant

MTrec Ltd • North Shields, Tees Valley

On-site
GBP 19,000 - 23,000
Full-time position
Office-based
Career progression
+1
Finance Assistant
Finance Assistant

Confidential • Woking

On-site
GBP 26,000 - 32,000
36 hour week
Bonus scheme
Holiday entitlement
+3