Job Description
Your core duties will include the maintenance of trust accounts, trust compliance & adherence to policy, bank reconciliations, handling trust-related queries, trust reporting, arranging bank drafts and handling billings overflow during busy periods.
You will also be responsible for administering and processing staff expenses, will act as backup AP and be involved in other month end duties as required.
Finally, your remit will include the identification and implementation of process improvement initiatives.
You are experienced in the legal sector and will have extensive trust accounting exposure.
You'll also have excellent communication skills, exceptional customer service focus and the ability to comfortably engage with senior management when required.