Liaising directly with Local Authorities, branch network, internal stakeholders via letter, email and telephone, to proactively resolve issues to collect current and historic balances
Achieving KPIs aimed at maximising cash collection and minimising old debts and write offs
Preparation of Credit Note, write-off and refund requests ensuring full supporting information and authorisations are obtained.
Raising Credit notes and associated amendment invoices following authorisation, posting to the accounting system.
Liaising with Head of Treasury, Directors, Branch Management and admin staff to resolve queries on Invoices or contracts to facilitate debt collection
Regular reporting to the senior leadership team on account issues
Attend periodic debt review meetings with Local Authorities as and when needed
Ad-hoc tasks including cash forecasting and year end support
Continual operational review and improvement of the ledger / branch function
Support for and interact with the sales ledger team
Reference no: 42150
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