Finance Graduate Trainee
Current
Greater London, England, United Kingdom
- Posted and reconciled customer payments: Ensured timely and accurate allocation of payments to customer accounts, supporting smooth cash flow and precise account management for high-value luxury clients.
- Collaborated with the credit control team: Coordinated efforts to send payment reminders, followed up on outstanding balances, and resolved disputes, ensuring that customer relationships were maintained while keeping.
- Monitored the credit inbox and actioned queries: Managed incoming emails, responded promptly to customer inquiries, and worked cross-functionally with sales and finance teams to resolve account issues efficiently.
- Input customer invoices into SAP and reconciled vendor payments: Processed invoices with accuracy, aligned outgoing payments with vendor accounts, and reconciled discrepancies to ensure smooth relationships with key.
- Supported the finance team in maintaining policies and procedures: Helped maintain and improve internal financial processes, ensured compliance with company standards, and contributed to a culture of continuous.