





The Accounts Payable Assistant will assist in all processes within the Accounts Payable function facilitating payments to suppliers and maintaining accurate ledgers within Oracle. General * Maintain good relationships with suppliers. * Understand the process for purchases requiring a purchase order and Non-PO. * Achieve KPI performance measures where applicable. * Extract data required for SOX and Audit and liaise with internal and external auditors where necessary. * GRNI Maintenance. * Prepayment allocation and maintenance. * Maintain a log of all items over 60 days with reasons for non-payment. Inputting and query resolution * Input invoices onto the financial accounting system, Oracle. * Maintain correct coding of invoices working with sites and accountants. * Understand the blanket PO process. * Ensure invoice queries are dealt with promptly. This includes sending queries to site Administrators as required. * Investigate and resolve invoices not matched for payment on the Oracle system, known as the ‘on-hold’ report. * Reconcile supplier statements to supplier ledger accounts on Oracle. * Audit expense claims in line with Group Policy and VAT principles. Validate supporting documentation. * Process the expense claims from STERIS Associates within region. Master data * Undertake all actions to enable the set up of any new suppliers and or action requested supplier changes to be processed within a set SLA. * Undertake all requested master data analysis to create “clean and efficient” master data files. * Continually strive to improve the Accounts Payable processes through analysis of data within the Supplier Master data as well as wider Accounts Payable data. Streamlining * Analyse the reasons for payments not coming into the payment run and resolve these where possible, including requesting missing bank account information. * Supplier account reconciliation on allocated accounts. * Convert the purchase requisition to a valid purchase. * Look for ways of streamlining suppliers by categories which enables an efficient purchasing process. * Review and investigate where appropriate GRNI for supplier accounts. Working with Change * Look for ways of improving the processes within the department. Team Working * Work efficiently with others within the team daily. * Work collaboratively with the wider finance team. * Ensure that you have a full understanding of each area within the department. * Highlight to your manager where you have any training needs. * Undertake any reasonable requests from your manager. * Provide any information that is requested from Finance and Operational Management in a timely manner.