Job Description
I am currently working with a multi-channel retailor based in Manchester who are looking to bring in a purchase ledger clerk to their growing finance team.
The business operate across 7 entities and are looking for someone who is comfortable working within a busy ledger team.
What’s in it for you?
- Salary 28,000
- Quarterly team days
- Team building exercises
- Training and Development
- Staff Discount across all trading entities
- Hybrid working options
- Opportunities for career development within a dynamic and growing group
Responsibilities:
- Processing Supplier Invoices: Accurately record and process supplier invoices across seven trading entities, ensuring adherence to agreed-upon procedures and coding to the correct cost centers.
- Invoice Matching: Match purchase orders, delivery notes, and invoices for a variety of goods and services, ensuring that all discrepancies are resolved promptly.
- Multi-Entity Accounting: Maintain separate purchase ledgers for each entity, while ensuring that transactions are correctly consolidated at the group level where appropriate.
- Payment Runs: Assist in the preparation of weekly and monthly payment runs for all entities, ensuring that suppliers are paid in a timely manner.
- Supplier Statement Reconciliations: Regularly reconcile supplier statements to the purchase ledger, addressing and resolving any discrepancies.
- Expense Coding: Ensure invoices and expenses are coded correctly to reflect the relevant entity, department, and project.
Multi-Channel Operations
- Channel-Specific Transactions: Work with invoices from multiple sales channels (e-commerce, retail, wholesale) and ensure that costs are appropriately recorded against the relevant entity and channel.
- Inventory Management Support: Liaise with the inventory and buying teams to resolve any invoice discrepancies related to stock deliveries, transfers between entities, and cost variances across the group.
Financial Reporting & Control
- Month-End and Year-End Closures: Assist the finance team in month-end and year-end processes, ensuring all ledgers are up to date, reconciled, and accurate across all entities.
- VAT Compliance: Ensure that purchase ledger transactions comply with VAT regulations and assist with VAT returns for each entity.
- Audit Support: Assist in preparing information for audits and ensure that documentation related to purchase transactions is readily available.
Supplier Management
- Supplier Queries: Act as the first point of contact for supplier queries, providing prompt resolution for issues related to payments, invoices, or reconciliations.
- New Supplier Set-Up: Assist in setting up new suppliers across the group, ensuring that proper documentation and approvals are obtained.
System & Process Improvement
- Financial Systems: Use financial systems and accounting software efficiently (e.g., Sage50) to manage purchase ledgers for each entity.
- Process Improvement: Identify and implement process improvements to increase efficiency in handling the high volume of transactions across multiple entities.
- Ad Hoc Projects: Participate in finance-related projects that may include system upgrades, process automation, or multi-entity reporting enhancements.