Job Description
LEGAL CASHIER - JOB DESCRIPTION
1. Bank Reconciliation – Client account, Office account, Deposit accounts
2. Processing financial transactions – allocating money, sending out payments, filling in relevant spreadsheets, inter-account and inter-matter transfers
3. Cheques
4. Expenses
5. Nominal
6. HM Land Registry – processing PBA account fees
7. HM Court and Tribunals – processing court fees
8. Processing time sheets
9. Petty cash
10. Credit cards
11. Financial analysis
12. Purchase ledger – Processing invoices and counsels fees and arranging settlement
13. Credit control
14. Archiving
15. Prepayment schedules
16. Client interest
17. Dealing with fee earners queries
18. VAT return
19. Filing
The Finance team works very closely together and the successful candidate will be involved with and have responsibility for all the above tasks.
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