Job Description
A rewarding permanent opportunity based in the Barry area for a Finance Administrator to join a busy team fully onsite with a 1.30pm finish every Friday. Free onsite parking. You will be working for a well established organisation who value their employees from day one.
Key Responsibilities
1. Manage the complete sales ledger cycle including invoice processing, cash receipt entry, and customer credit/refund processing
2. Reconcile aged debtor reports and general ledger balances, and support debt collection activities
3. Liaise with sales, service, and finance teams to resolve account queries and discrepancies
4. Prepare and submit quarterly VAT returns in line with HMRC regulations
5. Perform monthly payroll journal reconciliations and balance sheet reconciliations
6. Support weekly sales reconciliations, cash receipt forecasting, and finance reporting activities
7. Assist with budget preparation, variance analysis, and audit support as required
Experience & Qualifications
8. Minimum AAT Level 3 qualification or equivalent professional accounting experience
9. Strong working knowledge of VAT reconciliations, quarterly VAT returns and overall VAT accounting
10. Strong attention to detail with a proven track record of accuracy in financial data management
11. Confident working independently and as part of a team with excellent organisational skills
12. Proficient in Microsoft Excel, with analytical and data modelling capabilities preferred
Benefits
13. Free onsite parking
14. Early finish every Friday at 1:30pm
15. Supportive, friendly, and collaborative team environment
16. 20 days holiday, increasing to 25 days with length of service, plus Bank Holidays
17. Professional development opportunities within a varied and challenging role