Barhale
Ref
748
Region
Central
Location
Walsall
Closing date
03/01/2025
Description

Accounts Payable Clerk

The Role:

To administer, manage, and reconcile all aspects of assigned Supplier Accounts, ensuring processes are followed and all supplier accounts are up to date, accurate and paid in a timely manner, ensuring audit & process compliance.

Key Responsibilities:

  • Sorting post, dealing with exceptions and any urgent requests, queries, particularly on stop accounts.
  • Register Purchase Ledger and Sub contract invoices & credits daily (some will be subject to CIS tax & Reverse Charge VAT).
  • Overhead invoices registered and forwarded for authorisation, ensure these are then processed & matched to a GRN (residual match) in time for the payment run.
  • Query resolution monitoring and control.
  • Supplier reconciliation (preferably in excel format) to be performed in line with KPI’s.
  • Chase any missing invoices or credits with vendor and request a copy.
  • Accounts Payable Journals – to correct errors etc.
  • Direct Debits – Reconcile account, process documents & match against payments taken directly from our bank account.
  • Prioritise and deal immediately with any Overdue letters/7 day notice letters etc.
  • Ensuring the supplier email address recorded in the system is up to date and correct.
  • Work with Cost clerks, QS’s, procurement and suppliers to ensure audit/process compliance and identify opportunities for improvement
  • Working to agreed performance standards/targets
  • Select suppliers for weekly payments (from list provided), check and authorise payment proposal list, when authorised by Manager execute for payment and pass to Treasury.
  • Providing remittance information to vendors as and when required.
  • Vendor master file set up and maintenance, confirming bank details directly with suppliers.
  • Checking all details are up to date on the vendor master file e.g. correct name, address, VAT and Company registration numbers, bank details etc.
  • In time – to be able to cover for colleagues in their absence, e.g. subcontract ledger (Certifications), cash postings, and Sales Ledger invoices and valuations – skills dependant.

Contribute to the improvement of processes

  • Understand and respond to the needs of Vendors, team members, colleagues and managers
  • Raise issues and concerns constructively and offer solutions
  • Understanding of Reverse charge VAT and Construction Industry Scheme Tax (CIS)

Key Measures & Targets:

  • No of invoices/credits registered against daily/monthly targets
  • Accuracy of data entered – error rate
  • Monthly Supplier Reconciliations – set against KPI
  • No accounts on stop
  • No of queries not resolved within a timely period
  • Monthly reporting & KPI’s
  • No of invoices not registered at month end

Key Relationships:

  • Accounts Payable Team
  • Treasury Team
  • Transactions Manager
  • Finance Team
  • Procurement
  • Cost Clerks
  • Quantity Surveyors
  • BCS
  • Internal and External customers

Person Specification:

The successful candidate is likely to meet all the following criteria:

Essential

  • Strong IT skills including MS Office (Excel, Word)
  • Strong verbal and written communication skills
  • Ability to produce accurate, relevant information in a timely manner
  • Work well with other colleagues
  • Proactive in problem solving
  • Adapts well working on their own or in a team environment
  • The ability to work under pressure and to deadlines is required