Trade Recon Clerk
Job Description
Permanent Midrand
OverviewWe are a Supply Chain and Sales & Merchandising partner adding value to your business through a fully integrated, temperature-controlled network in Southern Africa.
But we are also more than that. We are people serving people. While we boast the best in tech and infrastructure, our people are our greatest resource. With our skilled, curious, can do people at the forefront, our assets become your assets, our service your solutions.
Vector's vehicle fleet includes a food industry first in 'multi temperature' vehicles enabling the company to service business across frozen, chilled and ambient temperature zones on a single delivery.
Job PurposeTo promptly verify suppliers invoices and claims. To prepare reconciliations and facilitate and consolidate payments to suppliers every month. To investigate claims, discrepancies and ensure credits are passed.
Key Responsibilities Supplier Invoice Verification- Verify invoices against the goods received in SAP (Approximately 455 per month).
- Investigate verification differences with both pricing and stock discrepancies by further follow up and appropriate communication with the supplier or the relevant depot.
- As required, raise claims against the supplier for the pricing/stock discrepancies.
- Communicate all discrepancies within 14 days to the supplier.
- Obtain supplier statements and perform reconciliations for payments to suppliers ( recons per month).
- Follow up on outstanding reconciliation items with the supplier ensuring no items are greater than 60 days.
- Prepare payment by flagging items within SAP to match approved reconciled payment amounts.
- Ensure that all payments are made within the correct payment terms.
- Process supplier correction journals.
- Check that payment runs agree to the total on the payment list.
- Forward remittances and recons to suppliers on a monthly basis.
- Prepare and update the monthly claims ageing schedule, with action points on items over 60 days.
- Back date all verification documents prior to close off of the fiscal month ensuring gr ir reduced to a measurable value.
- File all invoices and related documents on a monthly basis.
- File all reconciliations on a monthly basis.
- Record copies of claims.
- Take ownership and accountability for tasks and activities and demonstrate effective self management in terms of planning, prioritising and self development.
- Follow through to ensure that quality and productivity standards of work are consistently and accurately maintained.
- Inform relevant parties in the event of tasks or deadlines not met, the potential risks thereof and provide appropriate resolution.
- Support and drive the business core values.
- Manage colleagues and clients' expectations and communicate appropriately.
- Demonstrate willingness to help others and "go the extra mile" to meet team targets and objectives.
- Champion training and development of self and others through utilising available training opportunities or contributing to the development of new training solutions relating to product costing in collaboration with national training specialists.
- Participate in regular performance appraisals and ensure that own targets and goals are clear and achievable.
- Branch administration clerks.
- Finance teams.
- CSD Suppliers.
- Matric with accounting.
- Studying towards an accounting based tertiary qualification would be preferable.
- Minimum 1 year experience in an accounting or administrative field preferably using SAP R/3 module.
- Verbal and written communication.
- Computer literacy (MS Office skills - Word, Excel and Outlook).
- Logical thinking.
- Analytical thinking.
- Numeracy.
About This Role
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