TG Group, Finance Admin / Purchase Ledger Assistant (Part-Time) at TG Group
Ellesmere, , United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

05 Nov, 25

Salary

0.0

Posted On

06 Aug, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Purchase Ledger, Microsoft

Industry

Accounting

Description

Job Title: Finance Admin / Purchase Ledger Assistant (Part-Time)
Hours: 12 – 20 hours per week, with flexibility on days
Location: Head Office, Ellesmere

ABOUT US

Tudor Griffiths is a well-established, family-owned business with diverse operations including concrete and aggregate supply, waste disposal, skip hire, electrical services, and biofuel production. Our reputation is built on delivering quality products and excellent service to our customers across multiple sectors.

SKILLS & EXPERIENCE

  • Experience in a purchase ledger, finance administrator or accounts payable role is desirable but not essential.
  • Strong attention to detail and accuracy in data entry.
  • Ability to work effectively within a small team and meet deadlines.
  • Good working knowledge of Microsoft 365 (Excel, Outlook, Word).
  • Previous experience with Sage Intacct and Yooz advantageous but not required.
Responsibilities

ROLE OVERVIEW

We are seeking a proactive and organised Finance Assistant / Finance Administrator / Purchase Ledger Assistant to join our finance team. Working alongside our Purchase Ledger Controller within the wider finance function, you will be responsible for ensuring the accurate and timely processing of supplier invoices, payments, and account reconciliations. Experience is desirable but not essential — full training will be provided for the right candidate.

KEY RESPONSIBILITIES

  • Process supplier invoices accurately and in a timely manner using Sage Intacct and Yooz.
  • Investigate, raise and resolve queries on supplier invoices in a timely manner.
  • Prepare and process supplier payment runs in line with company procedures.
  • Maintain accurate supplier account records, including regular reconciliations.
  • Handle supplier queries promptly and professionally, building strong relationships.
  • Support the finance team with ad-hoc purchase ledger and general finance administration as required.
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