Preparation and attendance at monthly Credit Management meetings with senior management. Ensuring clear actions to resolve working capital issues.
Credit Control and Cash processing: assisting the team during absences, taking responsibility for debts that fall outside the standard Business Unit structure.
Managing Sales Ledger month close in our system.
Preparation of Group monthly cash forecast and monitoring performance during and end of each month.
Recruitment and appraisals of staff, with quarterly catch ups to assess & monitor performance goals.
Supervision of cashbook reconciliation process and various other monthly reconciliations.
Assist with system development and testing, and providing training where required.
Preparation of bad debt entries and reconciliations.
Quarterly reconciliation for all Group companies, and monthly reconciliation. Correspondence concerning any differences.
Benefits
Pension matched up to 7%
Competitive annual leave and the option to purchase additional annual leave
An annual professional institution subscription
Life insurance
Enhanced parental leave
Flexible benefits scheme to suit you, including cycle to work & Interest free season ticket loans etc.
Required Knowledge, Skills, and Abilities
Studying or qualified Accountant (ACA, ACCA, CIMA, ICM).
Experience of Credit Management role.
Confident in chairing meetings.
Must be a good communicator (both written and verbal) and confident in dealing with senior management.
Good understanding of Excel to at least basic pivot and vlookup level.
Excellent relationship building skills.
Strong analytical skills with a good eye for detail.