# Assistant Accountant

> Team17 Digital · Nottingham, United Kingdom (Hybrid) · Full-time · Posted 2026-09-14

**Workplace:** hybrid

## Description

In this varied and hands-on role, you will:

• Maintain accurate ledgers for multiple entities delivering accuracy and on time information

• Ensure accurate journals are posted in a timely manner across the group

• Complete month-end balance sheet reconciliations

Accounts Payable

• Accurately input data and supplier information into financial systems, maintaining strong financial controls in line with group policy

• Ensure goods and services are receipted promptly and accurately within the business

• Review and match supplier invoices to approved purchase orders and goods receipts

• Work closely with internal teams and external suppliers to resolve PO, receipting, and invoice queries

• Identify opportunities to improve P2P processes, controls, and system efficiency

• Take ownership of timely expense processing and payment planning through NetSuite

• Review company credit card activity to ensure transactions are accurately coded and posted to the correct cost centres and general ledger accounts

• Support the administration of the company credit card programme, including issuing new cards, cancelling cards, maintaining cardholder records, and ensuring compliance with group credit card policy

• Ensure bank transactions are processed in the accounting system and complete month end bank reconciliations for all currencies

• Perform statement reconciliations and maintain well-managed, up to date supplier accounts

• Monitor and maintain a clean Accounts Payable inbox, responding promptly to queries and maintaining excellent relationships

Accounts Receivable

• Upload and maintain daily sales data within the Sales Database to ensure accurate and timely reporting

• Process and reconcile daily sales transactions, ensuring accuracy and completeness of revenue data

• Raise and process customer invoices accurately and in accordance with agreed terms

• Allocate customer receipts and reconcile customer accounts on a timely basis

• Assist with month-end accounts receivable close, ensuring all sales, receipts, and reconciliations are completed within reporting deadlines

• Maintain accurate customer account records and ensure compliance with internal controls and financial procedures

• Monitor and maintain a clean Accounts Receivable inbox, responding promptly to queries and maintaining excellent relationships

What we are looking for:

• A proactive approach to tasks and ability to use own initiative to problem solve

• AAT qualification (or working towards)

• Proven experience in both Accounts Payable and Accounts Receivable

• Strong attention to detail with a strong numerical aptitude and financial integrity

• Strong and clear communication skills with experience of dealing with internal and external stakeholders

• Ability to work independently and as part of a team

• Software proficiency using financial systems such as NetSuite and intermediate use of Microsoft Excel

## Apply

[Apply at Team17 Digital](https://apply.workable.com/team-17-digital/j/F77BF41B2A/apply)

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