Manage aspects of the purchase ledger, from invoice processing and payment to statement reconciliation and analysis Verify, code, and process all supplier invoices. Ensure accurate and timely recording of invoices in the accounting system Perform monthly and year-end reconciliations of supplier statements. Investigate and resolve any discrepancies Maintain an accurate aged creditors report. Analyze supplier spending patterns and identify trends Provide additional support to the finance team as required Requirements:
Be able to commute to the office 5 days a week IT proficient and proficient with the full Microsoft suite, with specific focus on Excel. Possess a minimum of a year's experience in a similar position Good communication skills and a willingness to learn. Ability to work both independently and as part of a team.
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