Groundfloor Assistant Accountant — Path to Permanent

Trinity House Group

Redditch

On-site

GBP 33,000 - 35,000

Full time

14 days+
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Job summary

Trinity House Group in Redditch is creating a brand new Assistant Accountant role in the fast-growing finance team. This temp-to-perm position starts immediately, with conversion at six months, and offers hands-on exposure to double-entry bookkeeping across multiple bank accounts.

You will post journal entries, perform bank reconciliations, investigate discrepancies, and support month-end tasks while helping shape our processes as the business grows through acquisition.

Qualifications

  • Hands-on exposure to double-entry bookkeeping
  • Understanding of debits and credits and their effect on the ledger
  • Comfortable posting journal entries and bank reconciliations
  • Strong Excel skills with formulas and VLOOKUPs

Responsibilities

  • Posting journal entries across multiple bank accounts, ensuring accurate ledger reflection
  • Correcting postings with a solid debit/credit understanding
  • Completing bank reconciliations across several accounts and identifying differences
  • Investigating discrepancies until root causes are found
  • Applying double-entry bookkeeping principles daily
  • Supporting the month-end close and resolving reconciliation queries
  • Helping build and refine finance processes as the team grows
  • Collaborating with the wider finance team on month-end tasks and process improvements
  • Participating in ad hoc process improvement projects as acquisition-driven growth continues
  • Shaping how this brand-new role operates as processes mature

Skills

Double-entry bookkeeping
Excel skills
Independent worker
Immediate start

Tools

Excel

Job description

Trinity House Group in Redditch is creating a brand new Assistant Accountant role in the fast-growing finance team. This temp-to-perm position starts immediately, with conversion at six months, and offers hands-on exposure to double-entry bookkeeping across multiple bank accounts.

You will post journal entries, perform bank reconciliations, investigate discrepancies, and support month-end tasks while helping shape our processes as the business grows through acquisition.

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