Accounts Receivables Clerk at Advantage Personnel
Stoney Creek, ON L8E 6H2, Canada -
Full Time


Start Date

Immediate

Expiry Date

06 Dec, 25

Salary

50000.0

Posted On

07 Sep, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Communication Skills, Secondary Education, Accounting Software, Working Experience

Industry

Accounting

Description

Job Title: Accounts Receivable Clerk
Location: Stoney Creek, ON - South Service Rd & Millen Dr
Salary: $50,000 – $60,000/year (based on experience)
Shift: Monday – Friday 8:00am - 4:30pm, in office
Job Type: Permanent Hire Opportunity
We are hiring an Accounts Receivables Clerk / Bookkeeper for our client in Stoney Creek. This company distributes precision tooling and measurement equipment. Qualified candidates will have 2-3 years of accounting experience in a fast-paced office environment. Preference will be given to candidates with Microsoft Dynamics GP experience.

CANDIDATE QUALIFICATIONS FOR SUCCESS:

  • 2+ years accounts receivable and general accounting experience required
  • Microsoft Dynamics GP experience is preferred
  • Proven working experience as Accounting Clerk or Accounts Receivable Clerk
  • Experience with small business accounting software, combined with the aptitude to quickly learn new software programs
  • Proficiency in Microsoft Office suite and willingness to complete pre-screening skill testing
  • Post-secondary education in Accounting or Business is preferred
  • Highly attentive to details, a quick problem solver, able to easily detect errors
  • Excellent interpersonal and communication skills with a team-oriented attitude
    If you’re seeing a dynamic role with opportunities to grow in a booming business, we recommend you apply online today! We are inviting suitable candidates to interview as soon as possible. #Admi
Responsibilities
  • Receive and post payments via credit card, cheque, and EFT
  • Process reconciliations and review customer payment history often
  • Manage A/R collections and send out delinquency statements for outstanding payments
  • Prepare Bank deposits using cheque scanner, or at branch as needed, and posts into GP
  • Prepare all documentation for Returns, Short Claims and Credits,
  • Verify the reason for the claim, perform physical stock count and obtain shipping/tracking/POD as necessary
  • Process credit applications and set up new customers
  • Calculate and process rebates based on annual sales for customers that have incentive agreements
  • Complete monthly reporting of member sales in Affiliated Distributors portal and quarterly reporting of Rebate Earned & rebate cheque paid out
  • Complete month-end and year-end processes and reconciliations, reporting to executive team
  • MTO Specials – prepare mock invoices according to the agreed terms for deposits and subsequent payments until completion of orders
  • Complete other administrative, clerical and customer service functions often to support team
  • Other duties as assigned.
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