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Purchase Ledger Clerk

Recruitment Solutions (North West) Ltd
Posted 8 hours ago, valid for 3 days
Location

Salford, Greater Manchester M6 5BR

Salary

£24,000 - £28,800 per annum

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Contract type

Full Time

In order to submit this application, a Reed account will be created for you. As such, in addition to applying for this job, you will be signed up to all Reed’s services as part of the process. By submitting this application, you agree to Reed’s Terms and Conditions and acknowledge that your personal data will be transferred to Reed and processed by them in accordance with their Privacy Policy.

Sonic Summary

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  • A multi-channel retailer based in Manchester is seeking a purchase ledger clerk to join their expanding finance team.
  • The position offers a salary of £28,000 and requires candidates to have experience working in a busy ledger environment.
  • Key responsibilities include processing supplier invoices, matching purchase orders, and assisting in payment runs across seven trading entities.
  • The role also involves regular reconciliations, VAT compliance, and supporting month-end and year-end closures.
  • Additional benefits include training and development opportunities, hybrid working options, and staff discounts across all trading entities.
Job Description

I am currently working with a multi-channel retailor based in Manchester who are looking to bring in a purchase ledger clerk to their growing finance team.

The business operate across 7 entities and are looking for someone who is comfortable working within a busy ledger team.

What’s in it for you?

  • Salary 28,000
  • Quarterly team days
  • Team building exercises
  • Training and Development
  • Staff Discount across all trading entities
  • Hybrid working options
  • Opportunities for career development within a dynamic and growing group

Responsibilities:

  • Processing Supplier Invoices: Accurately record and process supplier invoices across seven trading entities, ensuring adherence to agreed-upon procedures and coding to the correct cost centers.
  • Invoice Matching: Match purchase orders, delivery notes, and invoices for a variety of goods and services, ensuring that all discrepancies are resolved promptly.
  • Multi-Entity Accounting: Maintain separate purchase ledgers for each entity, while ensuring that transactions are correctly consolidated at the group level where appropriate.
  • Payment Runs: Assist in the preparation of weekly and monthly payment runs for all entities, ensuring that suppliers are paid in a timely manner.
  • Supplier Statement Reconciliations: Regularly reconcile supplier statements to the purchase ledger, addressing and resolving any discrepancies.
  • Expense Coding: Ensure invoices and expenses are coded correctly to reflect the relevant entity, department, and project.

Multi-Channel Operations

  • Channel-Specific Transactions: Work with invoices from multiple sales channels (e-commerce, retail, wholesale) and ensure that costs are appropriately recorded against the relevant entity and channel.
  • Inventory Management Support: Liaise with the inventory and buying teams to resolve any invoice discrepancies related to stock deliveries, transfers between entities, and cost variances across the group.

Financial Reporting & Control

  • Month-End and Year-End Closures: Assist the finance team in month-end and year-end processes, ensuring all ledgers are up to date, reconciled, and accurate across all entities.
  • VAT Compliance: Ensure that purchase ledger transactions comply with VAT regulations and assist with VAT returns for each entity.
  • Audit Support: Assist in preparing information for audits and ensure that documentation related to purchase transactions is readily available.

Supplier Management

  • Supplier Queries: Act as the first point of contact for supplier queries, providing prompt resolution for issues related to payments, invoices, or reconciliations.
  • New Supplier Set-Up: Assist in setting up new suppliers across the group, ensuring that proper documentation and approvals are obtained.

System & Process Improvement

  • Financial Systems: Use financial systems and accounting software efficiently (e.g., Sage50) to manage purchase ledgers for each entity.
  • Process Improvement: Identify and implement process improvements to increase efficiency in handling the high volume of transactions across multiple entities.
  • Ad Hoc Projects: Participate in finance-related projects that may include system upgrades, process automation, or multi-entity reporting enhancements.

Apply now in a few quick clicks

In order to submit this application, a Reed account will be created for you. As such, in addition to applying for this job, you will be signed up to all Reed’s services as part of the process. By submitting this application, you agree to Reed’s Terms and Conditions and acknowledge that your personal data will be transferred to Reed and processed by them in accordance with their Privacy Policy.