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