Description:
Purpose: This role is responsible for the execution of transactional banking, supplier payments, purchasing card, virtual credit cards, employee expense reimbursements, and end of day payment system reconciliation and payment file processing. This includes managing business support queries, maintaining vendor and user data, resolving exceptions, and working closely with internal stakeholders and external vendors to address queries and issues that arise. Primary Accountabilities & Objectives: Transaction Processing- Efficient, timely and accurate processing of payments including supplier
payments, employee expense reimbursements and other payments as required - Manage end of day payment system reconciliations and payment file processing
- Ensure payments are made in accordance with banking system daily cutoff times
- Maintain vendor master data, including vendor setup, changes, and maintenance, ensuring accurate and up-to-date information
- Efficient, timely and accurate processing of sweep bank accounts, internal suspense accounts and payment transfers to FCTG businesses
- Set up and sustain clear communication channels with the offshore team for efficient information, instruction, and feedback exchange
- Manage user setup and maintenance across various payment systems, transactional banking platforms, purchasing card and virtual credit card platforms
- Manage and resolve banking, payment and credit card exceptions
- Manage internal and external queries relating to banking, payments, purchasing cards and virtual credit cards
- Engage effectively with vendors, internal stakeholders, and team members to gather information, resolve discrepancies, and provide updates on exception handling
- Continuously identify opportunities to streamline processes, improve efficiency, and enhance the accuracy of operations
- Accountability & ownership of own performance & meeting team expectations
- Actively challenge accepted operational wisdom across FCTG businesses
- Provide support to other team members as required
- Support and foster team environment and culture
- Exceed behavioural expectations of the team
- Team Support & Development
- 3+ Years Accounts Payable/Receivable and/or Banking experience
- Tertiary level qualification in Finance or Business
- Knowledge of Flight Centre Systems
- Proficiency in Microsoft Office Suite
- Travel Industry Knowledge
9 May 2025;
from:
uworkin.com