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UK: Distribution – Technical Service Finance Administrator


We are currently seeking a keen individual to join the Distribution & Technical Services Finance Team. This is a newly created role reporting to the Distribution & Technical Services Finance Controller. The main purpose of this role will be to provide financial support on stock and ullage management, liaising with key internal and external stakeholders. The role will also provide invaluable support to the other members of the team on key processes.

  • Responsibilities will include:
  • Monthly reconciliation of stock and ullage accounts
  • Monthly reconciliation of KNDL stock losses
  • Sorting and matching of 3rd party credit notes
  • Reviewing and maintaining the GRIR listing
  • Completion of monthly ALE reconciliation
  • Assisting in validation and analysis of KNDL weekly invoices and monthly recharges
  • Assisting with period end data collation for Distribution and Technical Support
  • Other adhoc support

To be suitable for this role you will have worked in a financial environment, be able to demonstrate strong team-working skills. Furthermore, you will posses excellent communication and organisation skills, a confident personality with the ability to work with a full and varied workload.

More info here

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Monday, December 11, 7:35 am

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