Large International Organisation based near the Birmingham Business Park are looking to recruit for an Accounts Receivable Clerk to maintain the sales ledger and cash flow.
Accounts Receivable - Key Requirements
- Post all bank entries
- Monthly reconciliation's
- Cash allocations
- Reconciling payments
- Posting monthly sales journals and sales ledger account reconciliation's
- Cash flow Forecasting
- Liaise with the Financial controller
- ad hoc duties
The person will ideally have worked in and Accounts Receivable role for at least 6 month and enjoy working in a busy organisation. Knowledge of Excel is essential.
Please apply to the Accounts Receivable role if you are interested and have the relevant skill set!