A competent and committed Accounts Receivable Cash Allocation Specialist with up to Five years' experience managing the financial activities of some of the world's major corporations and expertise comprising customer services, administration and providing assistance to sales and finance departments.A consummate professional demonstrably knowledgeable in Banking, accounts receivable, payable and credit control systems as well as adept at analyzing and enhancing Sales Ledger procedures. Possesses a consistent track record of successfully employing best business practices aimed at improving administrative performance and efficiency.
Responsibility for banking of company cheques, internal transfers, processing of cheques, cash/direct debits,
refunds, deposit processing and credit card payments
Posting and allocating daily cheques, BACS and credit card payments to customer accounts and AR write off
batches
Co-ordinate timely payment runs in accordance with monthly accounting cycle i.e. paying out money via
BACS or by cheque
Produce and issue invoices, credit notes and monthly statements
Responsibility for the investigation and resolution of all cash issues
Assist with both purchase and sales ledger entries
Reconciliation of company credit cards
Ensure all the scanning process and guidelines are followed ready for the batches to be uploaded
Producing cash and cheque receipt reports daily
Handling of internal and external mail.
Undertaking duties on an ad hoc basis to support the team
Daily reconciliation of the Bank File
Posting and allocating daily receipts, scanning and allocation of cheques on to Rimilia on a timely basis
Daily posting of branch cash, providing a daily summary of the cash position to finance management
Ensuring appropriate invoices and credit notes are matched to prevent customer disputes.
Liaison with customers and credit control staff for receipts without remittance advices.
Review of unallocated payments, processing customer refunds
Daily, weekly, and monthly reporting of unmatched payments and weekly transfer of payments to Ireland
received in the UK and verifying remittance contents.
Handling of internal and external mail and undertaking duties on an ad hoc basis to support the team
Banking Cheques at a branch of Lloyds Bank Plc
Posting and allocating daily cheques, BACS and credit card payments to customer accounts and AR write off
batches, produce and issue invoices, credit notes and monthly statements
Chase monies owed via phone, email or letter and placing customers on credit hold
Keep accurate notes on our intranet system of calls made and any queries raised
Escalate any issue, queries, or problem debtors to the finance manager
Communicate with warehouse, sales team, and customer services to resolve any invoice queries
Answering phone and Open and distribute mail daily
Responsibility for banking of company cheques, internal transfers, processing of cheques, cash/direct debits,
refunds, deposit processing and credit card payments, reconciliation of company credit cards and supporting
receipts
Posting and allocating daily cheques, BACS and credit card payments to customer accounts and AR write off
batches and processing credit checks daily
Liaising with payee for declined card payments
Ensuring all payments are banked daily including cheques, postal order, standing orders etc
Responsibility for banking of company cheques, processing of cheques, refunds, credit card payments and
transferring funds between client accounts
To enter all BAC’s payments received from the downloaded bank statements daily
Posting and allocating daily cheques, BACS and credit card payments to customer accounts and AR write off
batches
Provide assistance to line manager to ensure that efficient productivity continues within the department
Assisting with supervisory level tasks such as processing refunds, Training the new joiners etc
Ensuring the strictest accuracy so that payments go to the correct accounts
Responsible for resolving payment queries and customer care for both internal and external clients
Preparation of daily cash receipt report and unposted cash report daily
File daily/weekly reports
Opening of post and distributing to the relevant departments