3 5 years experience in a Finance Administrator role
Strong ERP experience and excellent MS Office skills, particularly Excel at an intermediary / advanced level
Strong focus on detail (accuracy and completeness), adherence to policy and procedure
Meeting deadlines and strong interpersonal skills (communicating / guiding)
Responsibilities:
Ownership of the administration for purchase requisitions, including support processes, systems, and tools, including:
Creation of IT Purchase Requisitions in D365
Check that Purchase Order Request form is complete and that all supporting docs and approvals are attached
Load all supporting documentation in D365
Submit the Purchase Requisition for Purchase Order creation, within 24 hours of receipt of completed support documentation
Respond / resolve queries received from Procurement
Follow Up On Creation Of Purchase Order (PO)
Follow up on D365 workflow to ensure PO is confirmed timeously (PR to be converted to PO within 24 hours of PR creation)
Download PDF version of PO from D365 and forward to PO Requestor and vendor
Maintain tracker of PO numbers and associated D365 Cost Collector number.
Receipting Of All Goods And Service Delivered
Follow up on open POs with service owners. Delivered goods / services to be receipted before month end close
Download and circulation of open PO reports
Create on 2nd, 3rd and 4th week of the month, including the Friday before month end. Circulate to PR requester for follow up on delivery of goods / services
Service owners to follow up with service providers and ensure goods / services are delivered on time
Service owners to communicate back to IT Financial Administrator as to which line items on the PO have been received and can be receipted
Receipt all goods / services delivered before month end cut-off timelines
On receipt of vendor invoice
Check invoice for completeness (correct Entity, VAT Number, PO number)
Circulate to the service owner for review and approval to process
General Ledger Journal Processing
Upon instruction and approval by the IT Finance Manager, process IT journals in D365:
Monthly IT prepaid journal
Monthly IT recharge journal
Month end accrual journals
Other journals as required
Ensure simplified and standardised month / quarter / year-end processes are followed
Identify opportunities to eliminate process inefficiencies