Finance Assistant at Norton Way Group
Letchworth SG6 1BL, , United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

13 Nov, 25

Salary

27000.0

Posted On

14 Aug, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Accounting

Description

A BIT ABOUT US:

Established in 1989, Norton Way Group has evolved into a powerhouse in the automotive industry. We have a rich history of growth, development, and excellence,
Norton Way Group spans 6 sites across Hertfordshire, Bedfordshire, and West London. As a multi-franchise business, we represent a diverse range of leading automotive brands, including Honda, Kia, Nissan, Mazda and Peugeot, and an award-winning corporate department. We are a subsidiary company of Marubeni Auto Investment (UK) Limited and Marubeni Corporation (Tokyo).
Our success is a testament to the efforts of our dedicated teams. Together, we drive success, celebrate achievements, and foster a dynamic work environment where every team member plays a crucial role.

WHAT WE NEED FROM YOU:

  • We are looking for a friendly and approachable person with a positive attitude.
  • Minimum of 2 years’ experience working in an Accounts Department, with a strong understanding of Excel
  • Impeccable attention to detail, with strong organisation and communication skills
  • Experience from within the automotive sector with knowledge of Keyloop, Drive or the previous Kerridge version
  • Ability to work to deadlines

How To Apply:

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Responsibilities
  • Ensure any ledger designated to you is constantly maintained, taking prompt action with supplier enquiries and identifying unallocated payments
  • To collate orders, delivery notes, parts receipted reports and invoices ensuring each invoice is authorised. Prepare supplier payments for scheduled Bacs runs and sundry payments as required
  • Code purchase ledger invoices with nominal codes, process Warranty and stock invoices posting to correct stock numbers. Reconcile the purchase ledger accounts to supplier statements monthly
  • Perform monthly bank reconciliations and daily cash book postings ensuring correct coding is used.
  • Ad hoc tasks as required
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