Accounts Assistant in Royal Leamington Spa

Accounts Assistant in Royal Leamington Spa

Royal Leamington Spa Full-Time On-site
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A superb new opportunity has arisen to join a leading legal firm in their accounts department. Reporting to the Finance Manager, the successful candidate will work with another colleague un a friendly and supportive environment.

Main duties:

  • To ensure incoming calls to the department are answered promptly and directed accurately without any delay
  • To communicate at all times in a pleasant manner with other staff and third parties
  • To convey messages clearly, accurately and promptly
  • To ensure the confidentiality and security of all Practice and Client’s documentation and /or information is maintained at all times

Accounts

  • To use Bankline system to check for receipts on a daily basis
  • Write up all direct to bank receipts in the log book
  • To check on ALB if electronic slips have been sent for incoming amounts, cash, cheques, and direct to bank, making sure amounts correspond to what has been received
  • Inform fee earners and secretaries when monies are received and posted
  • Write up unclaimed receipts
  • Prepare bank paying-in books as and when required with any cash or cheques received, ensuring that cheques have been logged in the Cheques Received book from the Post room
  • Thoroughly check and authorise outgoing CHAPS & BACS payment, ensuring sufficient funds are held on Client ledgers to cover the payments and any outstanding monies due to the firm
  • To use NatWest Bankline system to input correctly authorised CHAPS & BACS payments, ensuring compliance with SARs and other safeguards against mis-appliance of clients’ funds
  • To use NatWest Bankline to double check and authorise CHAPS & BACS payments
  • Accurately posting authorised and sent CHAPS & BACS payments to the correct clients’ ledger
  • Prepare cheque payments ensuring slips are correctly authorised, and that sufficient cleared funds are available on client ledgers
  • Transfer monies between client and office and deposit accounts in accordance with SARs and in house policies
  • Check and post client journals in accordance with SARs and in house policies
  • Post client invoices, checking for correct addition, allocation of profit costs to fee earner and, bill payer and address
  • Update and post Office a/c direct debits/standing order spreadsheet daily.
  • To finalise bank reconciliations at the end of every month and file all resulting paperwork. To do a consolidated client accounts reconciliation for DRL to check and authorise.
  • To calculate and add interest as requested to Client monies and make necessary transfers on NW Bankline.
  • Allocate expenses to nominal headers and cost centres/departments and ensure correct double entry in Nominal account.
  • Produce cheques through the Nominal Ledger for urgently required supplies/services and for non-standard suppliers.
  • To get all cheques produced signed in accordance with Practice rules and distributed to the correct fee earner or secretary
  • Process card payments through online service provider from completed forms, printing the receipts and filing. Occasionally it may be necessary to take card details from a client, either in person or by telephone, where a fee earner and secretary are both unavailable
  • Use NW Bankline and ALB software to reconcile bank accounts every day to ensure correct postings, especially checking that all the previous days’ receipts are accounted for
  • Ensure completed postings are filed on a daily basis, including bills in strict numeric order
  • Give out and receive petty cash monies, ensuring slips are correctly authorized, and then posting the payments or receipts
  • Reconciling the petty cash tin on a weekly basis
  • Printing various reports as and when necessary.
  • To shred confidential information no longer required
  • To bag and label posting slips at month end ready for audit and filing
  • Input supplier invoices promptly into the purchase ledger in accordance with firm rules
  • Produce cheques through the Purchase Ledger, or send BACS, when invoices become due for payment.
  • Liaise with suppliers over missing invoices or queried amounts.

Job Requirements

  • Numerate and accurate
  • Ideally, experience of working with figures/accounts environment
  • Able to work with minimum supervision
  • Capable of coping with peaks of work; resilient under pressure
  • A team player
  • Approachable and easy to work with

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Accounts Assistant in Royal Leamington Spa employer: Brellis Recruitment Ltd

Join a well-established manufacturing business in Southam, where you will be part of a supportive and team-focused finance department. With a competitive salary and the opportunity for long-term career growth, this role offers a unique chance to work within a global company that values employee development and fosters a collaborative work culture. Enjoy an early finish every Friday and gain exposure to SAP while contributing to a high-volume finance team dedicated to excellence.

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Contact Details:

Brellis Recruitment Ltd Recruitment Team