Payroll & Ledger Specialist – Finance Assistant

Payroll & Ledger Specialist – Finance Assistant

Full-Time 25000 - 35000 £ / year (est.) No working from home possible
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At a Glance

  • Tasks: Support payroll, manage ledgers, and assist with month-end tasks in a busy finance team.
  • Company: IPS Group Limited, a dynamic company in Wath with a focus on teamwork.
  • Benefits: Competitive salary, supportive work environment, and opportunities for professional growth.
  • Other info: Ideal for those looking to kickstart their finance career in a collaborative setting.
  • Why this job: Join a vibrant team and develop your finance skills while making a real impact.
  • Qualifications: Strong Excel skills and attention to detail are essential.

The predicted salary is between 25000 - 35000 £ per year.

IPS Group Limited in Wath is seeking a reliable Finance Assistant to support payroll, sales and purchase ledgers and VAT within a busy finance team.

The role requires accuracy, proactive work ethic and the ability to manage a varied workload.

You will administer payroll, process invoices, reconcile accounts and assist with month‑end tasks and year‑end preparation.

Strong Excel skills and attention to detail are essential for success in this position.

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Payroll & Ledger Specialist – Finance Assistant employer: Allscreens Nationwide Ltd

Allscreens Nationwide is an exceptional employer, offering a supportive team culture where employees are valued and encouraged to thrive. With access to state-of-the-art training facilities and opportunities for career progression, our Automotive Glazing Technicians in Birmingham can expect not only competitive bonuses but also the chance to work with the latest technology in the industry. Join us and be part of a company that prioritises both employee well-being and customer satisfaction.

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Contact Details:

Allscreens Nationwide Ltd Recruitment Team

We think you need these skills to ace Payroll & Ledger Specialist – Finance Assistant

Payroll Administration
Sales Ledger Management
Purchase Ledger Management
VAT Processing
Account Reconciliation
Month-End Tasks
Year-End Preparation