Job Description
An excellent opportunity has arisen for a Reconciliations Officer to join an established provider of financial services to businesses in Manchester.You will be responsible for a portfolio of Invoice Finance Reconciliations. Duties include reconciling and balancing sales ledgers and preparing month end reconciliations, new client ledger administration and managing reserves and overdue payments.
Key Responsibilities
- Effectively manage a portfolio of Invoice Finance customers, undertaking month end reconciliation of the ledgers and providing a consistently high level of service
- Monitor client ledger performance and report adverse trends to Relationship team
- Set monthly reserves for each client, ensuring that reserves are accurate and transparent to the client
- Maintain thorough records and provide necessary feedback and reporting to Head of Portfolio Management and Relationship Managers
- Prioritise completion of high risk graded clients in line with the Month EndReconciliation.
- Maintain regular contact plan for client communication and be available for client queries
- Undertake monthly portfolio risk review of ledgers and provide detailed analysis of results to senior management
Knowledge/Experience
- Proven track record of Invoice Finance Reconciliations
- Experience of the risks and issues that can be found in the reconciliation process
- Thorough knowledge of all operational processes
- Confidence to make decisions that may positively/negatively affect clients funding levels
- Knowledge of client sales ledger packages (e.g. Sage) and how to obtain reports from the systems
- The ideal candidate will be numerate, diligent and have the ability to work as a member of a team and on one’s own initiative.
- Experience of Sales Ledger management / bookkeeping experience would be a distinct advantage as would knowledge of the Invoice Finance industry.
In return you will receive a competitive basic salary + additional benefits.
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