This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
Responsible for managing and processing incoming payments, billing, and account reconciliations to ensure accurate and timely financial transactions. The role involves maintaining records for accounts receivable and payable, handling supplier and client queries, processing invoices, calculating commissions, and supporting month-end procedures. Additionally, the position requires using finance systems, ensuring compliance with OH&S standards, and maintaining strong relationships with internal stakeholders to support operational efficiency and financial accuracy.
Job Responsibility:
Manage and process incoming payments, billing, and account reconciliations
Maintain records for accounts receivable and payable
Handle supplier and client queries
Process invoices
Calculate commissions
Support month-end procedures
Use finance systems
Ensure compliance with OH&S standards
Maintain strong relationships with internal stakeholders
Assist in the timely billing of accounts
Maintain a filing system for account receivable records
Assist in balancing daily transfer to city ledger and post, edit and update to accounts receivable system
In the absence of the Account Clerk, handle correspondence and queries regarding city ledger accounts
Assist in the reconciliation of accounts
Process all invoices and statements
Record and process payments of goods and services
Maintain a filing system for accounts payable records
Check arithmetic accuracy and invoices
Assist in reconciling the weekly purchase log
Prepare cheque run for approval on a weekly basis
Reconcile supplier statements with established records and report any discrepancies
Assist in maintain the batch register and balance daily to general ledger
Assist in preparing the accruals journal at month end for regular suppliers and delivery dockets not paid
Calculate travel agent commissions
Aid in the preparation of the travel agents cheque listing
Use finance computer programs
Respond to and resolve account queries
Collate suppliers documentation for processing
Posting of Non-PO invoices
Build and maintain positive relationships with all internal customers and guests in order to exceed their needs
Take action to address these needs in order to exceed their expectations
Ensure all invoices have the appropriate documentation attached and approvals prior to processing
Requirements:
Diploma or Vocational Certificate in Accounting or Business Administration or related field
1 years experience in an accounting clerical, front office, or reservations position or similar
or an equivalent combination of education and work experience