A new challenge in an international and pleasant environment
Job Description:
Responsibilities of Purchase Ledger management to include:
Obtaining necessary approval for all supplier invoices;
Processing Supplier Invoices in Jobstream;
Raising and processing Supplier payments;
Creditors reconciliation;
Office Bank reconciliation;
Processing of all credit card expenses;
Processing of staff expense claims;
Processing and reconciliation of foreign currency held on hand;
Filing.
Other responsibilities to include:
Monthly VAT returns for two of Maitlandentities.
Maintenance of capital expenditure reports.
Inter-company recharges:
(a) processing incoming and outgoing invoices; (b) dealing with the accountants in all other Maitland locations; (c) confirming and reconciling balances on a monthly basis.
Any ad-hoc projects and reconciliations in order to assist with the preparation of the monthly managements accounts.
Profile:
Part qualified or qualified accountant with at least two years' experience in a financial institution.
A systematic work method and excellent attention to detail.
The ability to work as a member of a team.
Excellent computer skill, in particular a good knowledge of: Microsoft Office, including Excel, Word, PowerPoint, Access and Outllook email; Windows based accounting packages.
Fluent English is a must. Any other European language would be an advantage.