- Reconcile insurer accounts monthly and ensure settlements are made per the agreed terms.
- Reconcile weekly bank accounts and manage the company's purchase ledger.
- Post daily receipts, payments, and journal entries into the accounting system.
- Maintain and balance the cashbook, ensuring daily transactions match invoice records.
- Follow month-end routines and assist with client money calculations and payroll processes.
- Ensure compliance with regulatory requirements and internal procedures.
- Provide accurate financial information to directors and managers.
- Respond promptly to queries from insurers, clients, and colleagues.
- Assist with general accounts department tasks as directed by the manager.
- Proficient in spreadsheets, accounting software, and reconciliation processes.
- Basic knowledge of Microsoft Office (Excel, Word, Outlook).
- Strong verbal and written communication skills.
- Strong organisational skills and a team player mindset.
- AAT Level 4 (or equivalent) qualification, or working towards it (preferable)