ACS are proud to announce we have a brilliant new opportunity to work as a Legal Cashier, on a 9-12 month contract in a busy Liverpool office.
Benefits
- 25 days annual leave
- Birthday privilege day
- Maternity, paternity, adoption, shared parental leave, special leave
- Annual travel season ticket loan
- Christmas shutdown
- Holiday buy and sell and carryover scheme
- Dress for your day
- Training opportunities
- Charity volunteering days
- Smart working
- Private medical insurance
- Permanent health insurance
- Health cash plan
- Life assurance
Requirements:
- Ability to work under pressure and to meet deadlines
- All round cashiering knowledge
- Strong SRA regulatory knowledge
- Work well as part of a team
- Accuracy and attention to detail
Key duties:
- Dealing with general enquiries to aid the Finance Operations section and general Finance Department.
- Client Matter Transaction processing including office and client cheque requests/banking/Office/Client Direct Credit/Counsel and Expert Ledger postings/Same Day and International payment processing, including accounts maintenance.
- Client Matter Transaction processing including office and client cheque requests/banking/Office/Client Direct Credit/Counsel and Expert Ledger postings/Same Day and International payment processing, including accounts maintenance.
- Processing trust account transaction requests and bank reconciliations if required in adherence to Trust account procedures.
- Processing trust account transaction requests and bank reconciliations if required in adherence to Trust account procedures.
- Assisting the International Offices with any finance support required to include client matter transaction and bill processing and bank reconciliations when required
- Assisting the Finance management, and Team leaders with routine accounts duties as and when required.
- Assist with accounts maintenance client residual balance and projects that may include leaver audit administration and accounts database maintenance.
- Assist with accounts maintenance and disbursement editing for matter management
- Bank reconciliation and overage items assistance as and when required
As appropriate, assist with clerical accounts duties and accounts administration