- To ensure that all entities process intercompany and pass through invoices in a timely and accurate manner, and escalate when expectations are not met
- Accurate billing of specific service related revenue to external customers, liaising closely with Operational teams, including Clarity system invoicing process
- To ensure correct coding of invoices, in particular for intercompany related, to ensure financial accounting principles are followed and accurately reflect revenue taken by the trading Divisions
- Reconcile all associated intercompany ledgers each period, ensuring counterparty confirmations, with timely follow up of any variances
- To actively liaise with Operational teams to ensure all invoice accruals (accrued income) are kept to a minimum and invoiced to client within agreed timescales
- Work closely with operational teams and credit/collections to ensure disputes, issues and queries are properly and timely managed and resolved
- Building relationships with customers to ensure invoices and credits are generated to customer’s expectation. This includes processes around consolidated invoices, portals and being involved with the on-boarding of new customers
- Work closely with Credit Control and Billing teams to ensure invoice accuracy, improve cash flow and identify process failure
- Set up and establish intercompany processes and controls with support from Group Finance SSC Manager
- Establish key KPIs and then monitor against these
- Supporting Group Finance on customer rebate calculations and process
- Identification of efficiencies for future ways of working, implementing new processes where required or re-visiting current policies/processes to align with business needs
- Continually focus on process improvement enabling timely billing practices and reaching monthly billing targets
- Support on ad-hoc projects and process improvements
- Responsibility for driving accuracy standards across the team
- Line management responsibility of a team of Billing Specialist(s)
- Support in technical expertise and on the job training for team members
- Stakeholder management - building excellent relationships with clients and customers to process accurate and timely bills
- Oversee daily workflow to ensure that all processes work seamlessly and are completed efficiently within deadlines
- Provide daily management, guidance and support to team members
- Work closely with the Group Finance SSC Manager to further develop skillset and knowledge and provide necessary cover in times of absence
- Experienced in transactional finance and team leadership advantageous
- Previous experience in intercompany billing/head office recharges is advantageous
- Preferably had experience managing a team
- Self- Starter and able to work autonomously
- Experience of Construction Industry collections, via applications, CIS & retentions an advantage
- Excellent IT, especially Excel skills. Sage 200 accounting is advantageous.
- A resilient, proactive hands-on individual with strong results orientation, capable of focusing on both immediate needs and longer-term system reporting improvements
- Willing and able to adapt and flex approach to changing business and customer needs.
- Customer focused and able to flex approach to meet different stakeholder requirements.
- Delivers on commitments.