Interim Accounts Payable
- Employer
- Consumer Additions Ltd
- Location
- Central London, UK
- Salary
- Competitive
- Closing date
- Feb 14, 2019
View more
- Job Role
- Accounts Payable
- Sector
- Finance
- Contract Type
- Permanent
- Hours
- Full Time
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Consumer Additions are currently working in partnership with a high-growth footwear retailer in Central London, who are looking to secure an Interim Accounts Payable to join their successful team based in their HQ in London on a six month fixed term contract basis. This role involves providing financial, administrative and clerical support to the company. It primarily forms part of the Accounts Payable & Banking function, ensuring that the purchase process runs smoothly and efficiently from start to finish. In addition, there will be the opportunity to assist the rest of the team with ad hoc projects as and when they arise.
Responsibilities:
Responsible for checking & processing supplier invoices through Netsuite & Sage maintaining accuracy and timeliness. Provide payment remittances to suppliers on a timely basis. Matching purchase orders to enable the posting of supplier invoices. Maintaining and reconciling the Accounts Payable ledgers between two systems. Assisting with weekly bank reconciliations. Posting journals into Netsuite & Sage Liaising with Supplier Accounts Receivable teams to ensure fluid and professional flow of information Supporting other members of the team as required. Person profile and skills: Excellent interpersonal skills and the ability to communicate with both employees at all levels and external stakeholders. Flexible and willing to support other team members. Good knowledge of excel. Have an organised and structured nature with ability to prioritise and schedule workload in order to meet deadlines. Good numerical and analytical skills with ability to investigate queries thoroughly and accurately.
Responsibilities:
Responsible for checking & processing supplier invoices through Netsuite & Sage maintaining accuracy and timeliness. Provide payment remittances to suppliers on a timely basis. Matching purchase orders to enable the posting of supplier invoices. Maintaining and reconciling the Accounts Payable ledgers between two systems. Assisting with weekly bank reconciliations. Posting journals into Netsuite & Sage Liaising with Supplier Accounts Receivable teams to ensure fluid and professional flow of information Supporting other members of the team as required. Person profile and skills: Excellent interpersonal skills and the ability to communicate with both employees at all levels and external stakeholders. Flexible and willing to support other team members. Good knowledge of excel. Have an organised and structured nature with ability to prioritise and schedule workload in order to meet deadlines. Good numerical and analytical skills with ability to investigate queries thoroughly and accurately.
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