Our client is looking for a Cash Book Clerk to join their team. Duties include: Accurate processing daily
to and communicate changes in legislation to the clerks processing invoices and expenses. Resolve VAT queries
and communicating changes in legislation to the clerks processing invoices and expenses Resolving VAT
budgeting, reporting of budget variances, cost control, cost analysis programmes and ensuring that all
liaison between Finance and business stakeholders with cost and month end management, including budgeting and them via ad hoc financial modeling on pricing, costing and benefit quantification and month end / year
processes which includes management accounts, accruals, cost schedules and meetings, journals, balance sheet
to national mandate requirements - Control of low-cost projects admin - Day to day/monthly Credit Control