Duties and Responsibilities
· General ledger
o Input bank transactions in a timely manner
o Monthly bank reconciliation
o Post direct expenses.
· Responsible for the Accounts Payable Function.
o Input supplier invoices in a timely manner and match to purchase order (where the case).
o Reconciliation of supplier statements
o Liaise with suppliers to clarify statements.
o Provide the Finance Manager with payment information when required to assist with cashflow forecasting.
· Raising payments, both manually and system generated in multiple currencies and allocating these through the company cash book
o Generate multi-currency supplier payments in a timely manner and with accuracy.
o Allocate payments to the system cash book in a timely manner and with accuracy.
o Ensure one-off payments are correctly recorded on the system.
· Credit control
o Update cash books daily if necessary and accurately allocate/match receipts to customer invoices.
o Liase with customers to clarify any discrepancies with a remittance not matching payments
o Manage the dunning process (Debtors letters) in accordance to company credit policy.
· Other duties/requests
o Supporting and co-operating fully with all members of the Team as well as all other departments in a polite, professional and efficient manner
o Be confident to ask if instructions are not clear or provide suggestions on improvements.
Personal Specification
· Bachelor in Economics/Accounting/Financial
· Strong Excel skills
· Work experience in finance desirable
· English knowledge
