Priorities and manage the debt collection across a broad billing stream including ticketing, promotions and venue settlements and a diverse business group including promotions, festivals and sponsorship
Weekly aged debt reviews with Revenue & Banking Manager with concise and current collection status
Identifying and reporting expected cash receipts for operational cash flow reporting
Liaising regularly with the wider business including the Ticketing, Promotions, Sponsorship, Festivals teams and business unit Finance Managers along with other Intergroup businesses
Support and cover for the accounts receivable team for reviewing electronic invoice requisitions, ticketing / trader uploads and applying receipts
Run and distribute weekly and month end aged debt reports promptly for the various business units
Undertake any other duties as requested by line manager
Required Knowledge, Skills, and Abilities
Extensively experienced and proven credit control having worked in a corporate, multi-national organization
Self-motivating and able to work under pressure
Strong written and verbal communication skills and able to communicate at all levels within the organization
Good administration and time management skills
Good analytical and problem solving skills
Experience of working in a busy and at times high pressured environment
Works well under pressure but also on own initiative and as part of team
Promotes a positive and friendly culture
Efficiency and accuracy with the ability to priorities