Purchase Ledger
Main Activities and Responsibilities:
Cashbook - Ensuring the cashbook accurately reflects balances held in all the bank accounts.
This includes:
- Downloading bank statements and recording of direct to bank income.
- Completing bank reconciliations.
Purchase Ledger -
Ensuring all expenditure is recorded in a timely and accurate manner into the accounting system:
- Accurate posting of purchase invoices and expense claims to the Purchase Ledger, ensuring these are approved in line with current delegations of authority.
- Preparation and generation of Purchase Ledger payments, ensuring inclusion of necessary evidence.
- Preparation of ad-hoc payments.
- Occasional creation and maintenance of Standing Orders.
- Posting of direct debit payments and allocation to invoices.
- Ensuring VAT is correctly accounted for.
- Correctly accounting for prepayments.
- Dealing with any payment queries from suppliers or colleagues.
Month End
- Ensuring that the finance month end timetable for the closure of financial ledgers is achieved.
- Communicating with budget holders and others to ensure authorisations of invoices and other financial matters are completed on a timely basis in time for payment runs and month end accounting
- Investigating and clearing outstanding items in the accounting ledgers.
Year End
- Ensuring the balance sheet reconciliations and other year-end work is completed to meet required timetables.
- Communicating processing timetables to budget holders to ensure supplier invoices are
received and processed on a timely basis and cut offs are correctly observed.
- Carrying out supplier statement reconciliations on a regular basis and a full reconciliation for the year end.
This role is a temporary - permanent role in the centre of Coventry with 1 day working from home