More jobs:
Finance Assistant
Job in
Cheltenham, Gloucestershire, GL50, England, UK
Listed on 2026-06-12
Listing for:
Trades Workforce Solutions
Full Time
position Listed on 2026-06-12
Job specializations:
-
Finance & Banking
Accounts Receivable/ Collections, Accounting & Finance, Finance Assistant -
Accounting
Accounting Assistant, Accounts Receivable/ Collections, Accounting & Finance, Finance Assistant
Job Description & How to Apply Below
Finance Assistant | Hybrid | Fixed Term up to 8mths | up to £28,000
The CompanyMy client is in the professional services sector
Key skills & experienceEssential requirements and skills:
- Attention to detail, and work to strict deadlines are also a must.
- TM (disbursements) mailbox management within SLAs – Meeting SLA requirements of all emails acknowledged within 1hr offering then an expected time of full reply.
- Prompt invoice processing for TM disbursements
- Prompt processing through use of Corpay, for any applicable TM disbursements.
- Payment run set up for disbursement related suppliers.
- Prompt payment posting into Practice Management System.
- TM Disbursements supplier statement reconciliations
- SharePoint reconciliations alongside investigating status 7 – AP to check
- Dealing with all TM (disbursements) queries
- Write off process, including reviews/ approvals/ investigation and payments
- Daily paid/ unpaid disbursements reports checking
- Daily TM reports to the FE/partners
- Supporting with annual audit
- Supporting and assisting the Financial Controller as required on ad-hoc projects
- Contributing to the writing of firm policies to remain compliant with current SARs.
- Absence cover for the rest of the Business and Client Accounting team as required
- AP mailboxes management within SLAs – only disbursements, not firm cost
- Prompt invoices processing within SLA’s (IPO’s & experts) - only disbursements, not firm cost
- Final Review of invoices approved in approval system within SLA’s
- Export invoices from approval system and import into Practice Management System
- Payment run set up for suppliers and expenses reimbursement
- Payment run checking (where prepared by others)
- Prompt payment posting into Practice Management System
- Checking of cash receipts allocations
- Client/ office account payments checking
- Counsel fees payments
- Bank account reconciliations
- Supplier statement reconciliations - experts
For further information, please contact Rhian Mountjoy on or
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