
Ophthalmic Technician
- Ireland
- Permanent
- Full-time
- Reconcile bank statements regularly.
- Post cash receipts and direct debit entries accurately
- Prepare and maintain the fixed asset schedule
- Post monthly depreciation entries
- Issue sales invoices promptly.
- Reconcile the debtors report and flag aged debtors to the Sales Team and Financial Controller
- Maintain up-to-date lease schedules.
- Reconcile bank loan balances monthly
- Review the P&L to ensure all costs are correctly coded.
- Reclassify prepaid items where necessary
- Post and reconcile monthly accruals
- Reconcile creditor accounts monthly and ensure timely clearing of balances
- Collect supporting documentation for all credit card payments.
- Post entries to the correct nominal accounts
- Newly Qualified Accountant
- 1 Year PQE
- Experience in retail an advantage
- Ambitious and a self motivator
- The ability to meet strict deadlines in a timely and efficient manner