Expiration date: 11 Jul 2017
Processes the cash book by posting all receipts and payments daily
Updates the daily cash balance book for the Finance & Administration Executive.
Allocates receipts and payments to the appropriate Nominal Ledger Accounts.
Calculates income due from staff loans and posts to the nominal ledger
Prepares all bank reconciliations
Requirements:
Part ‘D’ CIS, CIMA or ACCA or Higher National Diploma in Accounting
2 A Levels
4 years hands-on experience within the Insurance/Pension Industry
27 Mar 2025
28 Feb 2025
28 Feb 2025
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