Accounts Clerk
Hudson Holdings Ltd
Role purpose: Apply principles of accounting to analyse and process financial documentation and assist in ensuring efficiency and control in all accounting procedures as directed according to company direction.
The key Duties/ responsibilities of the role but no limited to are as follows:
• Retail - End of Days reconciliation to include cash control and review of retail store Z-readings
• Monthly review and ownership of vouchers & control accounts – to include the issuing of vouchers (internally/ externally), posting in the accounting system
• Posting of weekly EPOS charges for all local business (Retail) and reconcile balances to the statements and post accordingly
• Cross check store deposits vs. bank statement on a weekly basis to ensure deposits are being reconciled
• Filing of accounting documentation
• Preparation of weekly store coin orders and handling of Petty cash reconciliations
Qualifications
• Minimum entry education to ‘A’ level/ AAT Qualified with a willingness to continue studies within Accounting
• A good communicator and team player
• Can work to monthly deadlines and follow a reporting timetable
• Experience of using Microsoft applications to include Excel and Outlook