To process supplier invoices, including scanning, registering, matching to purchase orders and goods receipts.
To prepare the weekly supplier payment run for BACS submission.
To process monthly student stipend payments, liaising with the Graduate School.
To maintain records of expenditure prepayments and fixed asset additions for inclusion in the annual accounts
To monitor, track and support management of cash, including liaison with the College’s cash collections and deliveries contractor and monitoring and filling the College’s ATM.
To support, monitor and manage petty cash and ad hoc cash payments for students.
To set up and maintain supplier and customer accounts and ensure that standing data is accurate.
To raise, when required, sales invoices to customers.
To correctly allocate monies received from customers and students to their accounts and issue customer statements.
To chase outstanding customer and student debt and liaise with the debt collection agency.
To ensure that non-order supplier invoices are correctly authorized by appropriate budget holders.
To reconcile the aged creditors and debtors report to the creditors control account monthly
To reconcile inter-company account balances monthly
To undertake ad-hoc reconciliations, as requested.
To review, when required, bank statement entries and compare to transactions on the financial ledgers and address variances.