Overseeing and managing Accounts Receivable and Accounts Payable
Treasury management including maintenance of bank accounts, mandates, and Direct Debits and online banking.
Preparing and submitting monthly bank reconciliations for both commercial bank accounts and invoice finance ledgers
Uploading daily day books to invoice finance portal and drawing down funds for daily cash-flow
Managing the timely closure of the ledgers for month end
Oversee all payments made from the business, including supplier payment runs and other ad hoc payments.
Overall responsibility for managing the Group’s staff expenses process and corporate credit cards
Executing foreign exchange transactions i.e. purchase of currency
Controlling all areas of customer credit and liaising with sales and operations as required including setting and agreeing customer credit limits and payment terms
Monthly review of debtor balances on sales ledger to assess potential write off exposure
Improving processes, procedures and controls, working in collaboration with the whole finance team
Managing six staff
Required Knowledge, Skills, and Abilities
We are looking for an experienced Accountant or Finance Manager who has managed AP and / or AR (order to cash and purchase to pay) who is good on finance systems and who has managed high volumes in a medium to large company.
Reference no: 103695
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