<?xml version="1.0" encoding="utf-8"?>
<rss version="2.0">
  <channel>
    <title>Accounts Payable Administrator - MTrec Ltd Technical RSS Feed</title>
    <link>https://jobs.co.uk/job/accounts-payable-administrator-mtrec-ltd-technical--c6cb94c8-e9b7-4276-8c84-4d7a258a5333</link>
    <description>RSS feed for Accounts Payable Administrator at MTrec Ltd Technical.</description>
    <language>en-gb</language>
    <lastBuildDate>Mon, 05 Oct 2026 18:34:12 GMT</lastBuildDate>
    <item>
      <title>Accounts Payable Administrator - MTrec Ltd Technical</title>
      <link>https://jobs.co.uk/job/accounts-payable-administrator-mtrec-ltd-technical--c6cb94c8-e9b7-4276-8c84-4d7a258a5333</link>
      <guid>https://jobs.co.uk/job/accounts-payable-administrator-mtrec-ltd-technical--c6cb94c8-e9b7-4276-8c84-4d7a258a5333</guid>
      <pubDate>Sun, 04 Oct 2026 23:00:00 GMT</pubDate>
      <description>Location: Ashington | Salary: &amp;pound;28000/annum | Type: Permanent | The Company   Our client is a specialist manufacturer in Ashington. Due to growth, they require an Accounts Payable Administrator for a 3 month FTC.   The Role   	 To provide a professional and timely accounting service in respect to all postings through the company bank accounts, payments of invoices and expenditures through the purchase ledger, and cashbook reconciliations, along with other tasks in finance as required. 	 Ensure all invoices and credit notes received have been checked, approved and entered on the financial system in an accurate and timely manner prior to payment. 	 To ensure the administration of all documents is of a professional standard at all times. 	 To reconcile supplier statements, ensuring any discrepancies are investigated. 	 To ensure correct posting codes are allocated to the expenditure. 	 To administer petty cash and reconcile balances at month-end. 	 Initiating payment runs, ensuring accuracy and that necessary controls are in place. 	 Facilitate new supplier and customer set up process and maintain details. 	 Month end preparation. 	 To run month end reporting as required, on a monthly basis. 	 To assist in the reconciliation of inter-co account ba...</description>
      <category>Permanent</category>
    </item>
  </channel>
</rss>