Citadel Source is delighted to be working with a well-recognised brand based in the South-West who are looking for an Accounts Payable Manager. This is a full-time, permanent role on a hybrid basis (2/3 days in office).
About you
You will be an experienced Accounts Payable Manager reporting to the Head of Financial Operations. The role requires a good communicator who has experience of managing an accounts payable team in a fast paced environment.
The role
The role requires having experience in managing a high-volume Accounts Payable function, with strong communication and interpersonal skills, and multi-currency expertise.
* Lead and manage a team of 6 Accounts Payable Clerks
Provide day-to-day leadership, guidance, and support to the AP team. Ensure workloads are balanced, deadlines are met, and team members are developing professionally. Carry out regular performance reviews and foster a collaborative working environment.
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Oversee the end-to-end purchase ledger process
Take ownership of the full AP cycle from invoice receipt through to payment, ensuring accuracy, efficiency, and compliance with internal controls and company policies.
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Process supplier invoices and credit notes
Ensure timely and accurate processing of a high volume of supplier invoices and credit notes, resolving any queries or discrepancies in a prompt and professional manner.
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Onboard new suppliers and perform credit checks
Manage the onboarding process for new suppliers, ensuring all necessary documentation is collected, credit checks are completed, and vendor records are maintained accurately within the finance system.
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Complete bank and statement reconciliations
Perform regular reconciliations between bank accounts and the accounting system to ensure all transactions are correctly accounted for and discrepancies are investigated and resolved promptly.
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Support monthly VAT return submissions
Assist in compiling and reviewing the necessary data to ensure accurate and timely VAT reporting, in compliance with relevant tax regulations.
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Assist with month-end activities, including journal postings and balance sheet reconciliations
Contribute to the monthly close process by preparing and posting AP-related journals, reconciling relevant balance sheet accounts, and ensuring all financial data is accurately recorded for reporting purposes.
What the client has to offer
* A salary level of £40,000 to £45,000 per annum
* Hybrid Working
For more information on this exciting opportunity, please apply or reach out to Jesse