Job Title: Cash Flow Specialist
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This is a fantastic opportunity to join a dynamic team of legal professionals and support staff in Coleraine. As a Cash Flow Specialist, you will be responsible for managing internal ledgers and identifying discrepancies.
Main Responsibilities:
* Prepare, issue, and track client invoices.
* Reconcile client payments against invoices regularly.
* Reconcile daily, weekly, and monthly bank statements.
You will also be assisting in VAT calculations and preparation of returns, as well as responding to payment enquiries from clients or internal staff.
Liaising with solicitors on billing matters or overdraft issues is an essential part of this role.
To succeed in this position, you will need previous experience working in a Solicitors office, preferably with IATI qualification. However, Qualified by Experience is equally acceptable. Additionally, you must have essential experience using XERO.
Key Skills:
* Cash Management
* Accounting
* Bookkeeping
Please note that this is not a list of requirements, but rather key skills required for the job.