Finance Assistants at Pavers
York YO26 6QR, , United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

16 Nov, 25

Salary

26000.0

Posted On

16 Aug, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Purchase Ledger

Industry

Accounting

Description

WHAT’S IN IT FOR YOU:

  • Salary Circa £26,000 - dependent on experience.
  • Enrolment into company’s pension scheme.
  • Discretionary Annual Bonus scheme.
  • Generous colleague discount scheme, some of which can be shared with your family and friends!
Responsibilities

A NEW OPPORTUNITY HAS ARISEN FOR TWO FINANCE ASSISTANTS TO JOIN THE PAVERS HEAD OFFICE FINANCE/ACCOUNTS TEAM AT NORTHMINSTER BUSINESS PARK, YORK. BOTH ROLES ARE OFFERED ON A FULL-TIME PERMANENT BASIS, IN A GROWING BUSINESS WHERE YOU ARE ENCOURAGED TO DEVELOP YOUR SKILLS IN A SUPPORTIVE ENVIRONMENT.

These are key roles within the finance team, both will support the team lead/supervisor, one role will be aligned to the Store and Home Shopping accounts, the other role will support the Purchase Ledger for all non-stock purchases.

THE ROLES

This role involves overseeing the reconciliation of daily Stores and Home Shopping intakes reports against bank deposits, identifying discrepancies and making adjustments, maintaining effective communications with store managers and preparing weekly reconciliation reports. You will manage the bank reconciliations for the Store and Home Shopping accounts, perform investigations on stores’ transactions, perform several journal postings and assisting the period-end and year-end processes. This helps towards ensuring daily and weekly cash flow reporting is updated.
This role will assist to ensure all non-stock purchases made are accurately recorded and paid for in a timely matter. In that process, the team will be the key contact with other departments, liaising with purchase order originators, ensuring goods and services received are adequately matched and invoiced. You will manage third party queries, such as suppliers, contractors and auditors. You will also assist in preparing regular payments, handle remittance advice and disputes/queries.
These roles would suit individual’s who have already worked in a similar organisation within the retail sector, or have familiarity with maintaining purchase ledger. We also welcome recent graduates or someone who is looking to get back into the industry. Support towards professional qualifications would be considered once probation periods have been completed successfully.
We are looking for colleagues who are self-motivated and can work on their own initiative, able to demonstrate a methodical approach, with excellent written and verbal communication skills.

SNAPSHOT OF YOUR RESPONSIBILITIES:

  • Review daily till reports, recorded sales, cash received and payment methods and reconcile against imported reports on Sage and bank receipts.
  • Identify and investigate discrepancies and make necessary adjustments.
  • Post cash sheet batches upon completion of reconciliation.
  • Deal with inquiries from stores and any customer payment disputes.
  • Post occasional manual trading transactions.
  • Manage Home Shopping transactions and reconcile with bank account and post relevant transactions onto Sage.
  • Look after petty cash.
  • Raise one-off sale ledger invoices occasions.
  • Manage the Purchase Ledger Inbox and clearing emails daily.
  • Checking all non-stocks purchase requisitions and liaising with purchase orders originators.
  • Accurate logging, coding, and checking the posting of invoices on to the Sage 200.
  • Resolving purchase ledge queries.
  • Supplier statement reconciliations.
  • Process all rent invoices relating to stores and updating the rent schedule for month-end purposes.
  • Take care of expenses claims and company credit cards statements reconciliations.
  • Assisting and liaising with stores recording shop queries / discrepancies
  • Assisting with month end procedures.
  • General administration duties, including filing, photocopying, scanning, etc.
  • Bank Statement posting.
Loading...