Finance Assistant - Purchase Ledger at New Bridge School (2024-09 – 2026-05)
- Processed accounts payable transactions, including supplier invoices and reconciliations
- Posted invoices and matched to POs
- Managed the finance inbox and dealt with any queries
- Responded promptly to finance-related queries from students, staff, and parents, provided clear and professional support
Finance Assistant at Eurosonic Group Limited (2019-11 – 2024-08)
- Entered large volumes of invoices from domestic suppliers onto the company's accounting system
- Ensured the stock levels matched with what was invoiced, highlighting any discrepancies to the finance manager and stock controller to ensure accurate stock reporting
- Posted payments to suppliers as well as for the sales ledger
- Reconciled the bank accounts to ensure everything matched correctly - across three currencies, GBP, USD, and EUR
- Chased cash with the credit control team and chased cash for GBP as well as some USD customers
- Allocated cash paid in and paid out of the business. This included posting in GL ledgers as well as completing the VAT deferment
- Chased debt owed to the company, as well as profit margin reporting, ensuring that the company was profitable in dropship (E-Commerce)
- Presented the report to the board of Directors regularly
- Filing, answering the phone, taking card payments from customers, credit card reconciliation, as well as managing in and outbound post
Purchase Ledger Clerk at Marty Hygiene (2018-03 – 2019-11)
redundancy
- Posted and processed invoices, credits, and statements for the five subsidiaries that were part of the Group
- Posted payments, reconciled statements, and posted invoices, credit, and debit notes to the system for each company
- Reported data, including month-end reports of aged creditors and attending meetings regarding why invoices were unpaid as well as expected payment runs of other invoices
- Attention to detail was vital to ensure the right entity had the right invoice processed for i
- Answered the phones and took messages
Accounts Assistant at Fifth Generation Limited (2017-05 – 2017-12)
apprenticeship
- Processed invoices onto the CRM system Xero as well as recorded them on different spreadsheets (Excel)
- Made payments to suppliers through BACS/CHAPs as well as paid by company card over the phone
- Processed invoices, statements and provided queries to our suppliers via phone and email
- Processed the payroll of the staff within Fifth Gen
- Completed bank reconciliations from what we had paid out against what we had been paid as well as matched against our payments due, to ensure payments weren't duplicated
- Input journal transactions into our CRM software