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Finance Assistant

Venn Group

Kingston upon Hull, Hull
Financial Services

Role

  • Reconciling payments, petty cash and balance sheet accounts
  • Preparing, posting and completing journals by deadlines
  • Performing purchase ledger items
  • Managing profit and loss expenses analysis
  • Preparing monthly sales breakdown report
  • Maintaining cashbooks and credit card receipts
  • Recording bank statement transactions
  • Producing payment sheets
  • General administration duties