About the role
Reporting to the Finance Manager you will be performing payment functions and associated accounting entries for all entities as well as posting invoices and credit notes in the Purchase Ledger. You'll also be required to actively support in both routine tasks and process improvements.
Responsibilities:
Understanding debit balances and the actions to take.
Reconciling vendor statements in a timely manner.
Processing intercompany and 3rd party invoices accurately from return workflow.
Working to resolve parked and blocked invoices as well as debit balances and the actions to take.
Performing Accounts Payable reconciliations on a monthly basis.
Develop customer relationships with internal customers (purchasers- and accounting personnel) and provide a high quality service to all stakeholders.
Identification and implementation of process improvements, with ability to competently share knowledge and learnings
Experience you'll bring:
Strong previous experience of working within an accounts payable department for a multi-national organisation (or experience in AR/Finance role)
Good understanding of VAT taxation rules and regulations
Strong IT/Computer literate skills and Intermediate-advanced MS Excel skills with a working knowledge of SAP
Strong reconciliation skills
Behaviors you'll need:
Self-starter, able to come in and hit the ground running and make decisions for self and the team
Strong experience of working to deadlines with excellent attention to detail and a sense of urgency
Good communication skills and to be a strong team player
Ability to manage multiple priorities independently and as a team