JOB DESCRIPTION
ACCOUNTS ASSISTANT
Ramage Transport are looking for an experience Assistant Accountant to join our finance team. The main responsibility of an Assistant Accountant is to support the Company Accountant with business accounting activities.
Duties will include:
i) Support the preparation of monthly management accounts (P&L/Balance sheet), including prepayments/accruals and reconciliations
ii) Obtain, maintain, and report GL historical data to allow strategic decisions to be made by Financial Controller & Leadership team
iii) Review aged AP, AR, Debit notes, GRNI, Purchase orders and clear where possible
iv) Perform reconciliations, including investigation and resolution of variances
v) Daily spreadsheet updates, cashflows and banking transactions
vi) Support the Financial controller by providing data to be included within forecasts/quarterly business reviews/ medium term plans/budgets and other analysis
vii) To undertake any other duties that may fall into the job criteria including providing holiday cover across the department
viii) Support the preparation of companys costing systems
Following Duties will be undertaken for holiday cover:
- Day to Day responsibility for financial transactional processing. This includes supplier invoice input, reconciliation journals, supplier relationship management and credit control.
- Perform three-way matching PO/GRN/Invoices, resolve any issues identified.
- Input supplier invoices daily, reconcile statements, and credit notes in line with supplier and internal expectations.
- Raising and allocating payments made, ensuring unallocated payments are reviewed and cleared in good time.
- Monitor supplier/customer accounts and liaising with the business, highlighting due dates upcoming and payment profiles.
- Manage DPO (Days payables outstanding) within forecasted cash balances, resolve invoicing queries with appropriate department and suppliers
- Review aged AP, AR, Debit notes, Goods Received Not Invoiced, Purchase orders outstanding and clear where possible
- Support the preparation of monthly management accounts (P&L/Balance sheet), including prepayments/accruals and reconciliations.
- Obtain, maintain, and report GL historical data to allow strategic decisions to be made by Financial Controller & Leadership team.
- Review aged AP, AR, Debit notes, GRNI, Purchase orders and clear where possible.
- Perform reconciliations, including investigation and resolution of variances.
- Daily spreadsheet updates, cashflows and banking transactions.
- Support the Financial controller by providing data to be included within forecasts/ quarterly business reviews/ medium term plans / budgets and other analysis.
- To undertake any other duties that may fall into the job criteria including providing holiday cover across the department.
Minimum Qualifications, Knowledge and Experience:
- AAT Technician level 4 minimum
- Min 5 years+ experience in finance function, preferably within an SME.
- Good understanding of Sage 50 preferred.
- Working knowledge of excel spreadsheets.
Job Specific Skills:
- High attention to detail and accuracy skills.
- Excellent communication skills.
- Extremely organised and a multi-tasker.
- Experience in reconciliations and accounts maintenance.
- Experience in working with various Finance and ERP systems.
FULLY OFFICE BASED
Job Type: Full Time - Permanent
Hours of Work: Monday - Friday 9am - 5pm
Job Type: Full-time
Pay: £27,000.00-£30,000.00 per year
Benefits:
- Company pension
- On-site parking
Schedule:
- Monday to Friday
Experience:
- Accounting: 2 years (required)
Work Location: In person