AAT Studier Accounts Assistant
About Candidate
Profile.
Education / Qualification
Currently Studying AAT Level 2 – 1 exam left
2:1 Bachelor’s degree in English Language and Literature
A Levels and GCSEs including Maths and English
Systems used
Microsoft Word and Excel – Intermediate
Sage
Microsoft Dynamics
SAP
About
Detail-oriented and highly focused Finance Professional with extensive experience across Accounts Payable / Accounts Receivable and Credit Control within Multi-Company Environment. Proven ability to manage High Volume and Multi-Currency Transactions whilst maintaining Accuracy, Compliance and Strong Stakeholder Relationship. Currently studying AAT Level 2, with 1 exam remaining and keen to continue with studies. Known for a proactive, reliable approach with strong communication skills and the ability to work effectively in fast-paced, deadline-driven settings.
Competencies
End to End Accounts Payable and Accounts Receivable
Bank Reconciliations, Journals Posting and Month-End Support
IT Literate across a range of Software’s including SAP, Microsoft Dynamics, Sage 50
Strong Excel Skills across Reporting and Reconciliations
Strong Communicator
Process Improvement, Documentation and Transition Support
Career Summary.
| Current Employer | Property Management Company |
| Position | Accounts Assistant |
| Dates | February 2025 – Present / January 2020 – March 2023 |
- Utilising Sage Line 60 to Manage end-to-end Accounts Payable Process – Processing Supplier Invoices for 6 Companies
- Reconciling Against Supplier Statements / Journal Postings and Processing Payments
- Managing end-to-end Accounts Receivable Process – Raising Electricity / Insurance / Rental and Water Charges Invoices for over 100 Tenants across 6 Companies
- Managing Payments Received / Reconciling Bank Statements and Creating Tenant Statements
- Credit Control duties for the 6 Companies – Contacting Tenants via Telephone and Email to confirm payments dates for Outstanding Invoices – Making Payments Plans where appropriate and documentation for Legal Action when required
- Coordinating with all Tenants to ensure Compliance with Insurance Company Policies regarding to electrical inspection reports
- Assisting with Year End – Collating Supporting Documents as required by Accountants and checking Internal Records against Sage Reports
- Providing General Administration responding to New Tenants inquiries via Telephone and Email / Managing Directors Calendars
| Previous Employer | Engineering |
| Position | Accounts Administrator |
| Dates | July 2024 – February 2025 |
- Oversaw the complete Accounts Payable process – including the process of Purchase Invoices / Bi Monthly Payment Runs in Multiple Currencies and daily ad hoc Payments
- Utilised Sage 50 and Global Shop Solutions for 2 Companies
- Calculated Weekly Hours and Administered Payroll for 30+ Employees using both GSS and Sage Payroll
- Performed Weekly Bank Reconciliations and Daily Journal Postings
- Generated Customer Invoices through the GSS Platform and Created Manual Invoices were necessary, in multiple currencies for both Companies
- Ensured the accurate Reconciliation of Delivery Notes with Purchase Orders / Updated orders on Factory Masters/GSS and Collaborated with procurement team to check discrepancies
- Compiled and Presented Month-End Reports using Excel for Manual Rerecords and Reports from GSS, including Sales Reports / Cash Received / Purchases Made and Petty Cash Activity
| Previous Employer | Manufacturer |
| Position | Finance Assistant |
| Dates | March 2023 – July 2024 |
- Managed End-to-End Accounts Receivable- Employing PLATO for the distribution of Customer Invoices and Credit Notes for over 00+ Customers
- Administered Accounts Payable – Utilised Microsoft Dynamics and ASP for the processing of Supplier Invoices / Daily Bank Reconciliations and Weekly Payment Runs in Multiple Currencies
- Managed Credit Control – Monitored Customer Credit Limits, Pursued Overdue Payments and dispatched Dunning Letters.
- Utilised SAP to generate comprehensive Monthly Reports for Both AR and AP – including Cash Received, Purchase Made and Overdue Debt
- Conducted Audits of Employee Expenses on a Monthly Basis / Analysed Receipts / Extracted VAT and approval from Higher Manageemnt
- Oversaw training and transition of Finance-Related Tasks to overseas GBS teams – Streamlined Workflows and Produced Shared documents and procedural documents
| Previous Employer | Supplier |
| Position | Administrator |
| Dates | October 2011 – December 2019 |
- Produced Internal Production Paperwork and External Quotations using LogiKal, Based on Customer Requirements and Specifications
- Assisted with Accounts using Sage 50 – Processed Customer and Supplier Invoices, Monitored Factory Labour Hours and Set up New Projects
- Conducted EN 12101-2 Audits to ensure Compliance with Certification Standards -ensuring accuracy of Documentation for Final Certification
- Resolved Customer Complaints / Evaluated Internal Operational Processes and Reviewed Supplier Performance to Inform Management Discussion and Decisions
- Procured Materials and Accessories, negotiated favourable terms / Discounts and Bulk Purchasing Agreement
- Verified Delivery Notes and Invoices against Purchase Orders