Key Result Areas
The role is accountable for ensuring:
- Prompt processing of creditor invoices for all locations
- Correct general ledger allocation of all creditor invoices
- Reconciliation of local creditors
- Organisation and generation of weekly EFT payment runs
- Accurate setup and maintenance of creditor records
- Timely responses to creditor and internal queries and requests
Key Responsibilities
Daily / Weekly
- Code and enter expense invoices using the general ledger chart of accounts
- Ensure all expense invoices are authorised by a manager prior to processing; distribute and follow up as required
- Generate weekly EFT and BPAY payment runs each Friday
- Process staff expenses and petty cash reimbursements each Friday, ensuring all receipts are attached
- Complete supplier credit applications when received
- Set up new creditors in accordance with established guidelines
- In conjunction with Accounts Receivable, chase outstanding customer payments (across all states, with a focus outside Victoria)
- In conjunction with Accounts Receivable, upload daily Payway files and validate transactions
- Review bank statements and enter transactions as required