VTR is hiring a full time, permanent Accounts Payable Clerk to join our growing team in Grimsby.
The Accounts Payable Clerk is directly responsible for performing data entry and related duties in disbursing non-payroll accounts payable to individuals, suppliers, corporations, and other entities. This includes maintaining ledgers, credit balances, and account irregularities. The A/P Clerk will also ensure the timely and accurate processing of invoices and credit card transactions. This position involves diplomatic interaction to provide billing information and support in order to facilitate daily bank reconciliations.
Who we are – We are VTR Feeder Solutions, a leader in automated parts-feeding systems and Canada’s largest parts-feeding company. Each piece we create is specifically designed to function individually or within a larger system and is built using the highest quality materials to exceed industry standards. From automotive to medical and pharmaceutical companies, we have helped hundreds of organizations around the world successfully improve their business with our expert insight in the best feeding solutions.
Job Type:
Permanent, full-time
* Minimum 40 hours per week
* DPSP Matching Program
* Annual Bonus
* Flexible Vacation Schedule
* Friendly, respectful, and safe work environment
* Temperature controlled environment
* Birthday Paid Day Off
* Paid Shutdown between Christmas and New Years
* Lunchroom with provided food and drinks
* Biweekly Lunches
* Own vehicle or reliable transportation required; not transit accessible
* On-site parking
Schedule:
* Day shift, Monday to Friday
* Employee may choose shift: 7:30am-4:00pm, 8:00am-4:30pm, OR 8:30am-5:00pm
Ability to commute/relocate:
Grimsby, ON: reliably commute or plan to relocate before starting work (required)
Major Duties & Responsibilities
* Report to Financial Controller
* Collaborate with the Financial Controller to maintain general A/P performance levels
* Enter vendor invoices and reconcile ACH clearing account
* Enter credit card charges and reconcile credit card accounts
* Review bills to the company for potential errors and/or discrepancies
* Investigate and resolve billing discrepancies or misapplied cash transactions
* Reconcile vendor statements to AP balances and ensure all invoices are entered
* Enter job allocation for reporting to ensure hours are allocated to the correct job, department and payment code weekly
* Produce weekly profitability reports for the Chief Information Officer
* Review emails and file when complete, notify the Financial Controller of any emails that they should review or respond to
* Review Open Item receipts weekly to ensure all invoices are received and entered in a timely manner
* Prepare open Purchase Order report for the Financial Controller to review weekly
* Summarize and reconcile petty cash accounts monthly
* Complete month end closing procedure by the 10th of each month
* Maintain an orderly filing system, both electronically and hard copy
* Ensure the strict confidentiality and privacy of financial records as they relate to the organization and its business partners
* Ensure the use of proper PPE when required
* Adhere to Health & Safety guidelines, as well as VTR’s Mission, Vision, and Values
* Other related duties as required
Qualifications
* Strong attention to detail and a high degree of accuracy
* Sound analytical thinking, planning, prioritization, and execution skills
* Able to effectively communicate both verbally and in writing
* Strong verbal and written communication skills
* Ability to work independently and as part of a multi-function team
* Team-oriented and demonstrated ability to collaborate with others
* Strong understanding of Health & Safety practices in a manufacturing environment
* CSA-approved safety shoes required
* 1-5 years of direct experience in an A/P role
* Advanced proficiency with QuickBooks Enterprise accounting software and spreadsheet programs and applications required
* High level of proficiency with Microsoft Office productivity suite
* Demonstrated ability to accurately calculate, post, correct, and manage accounting figures and financial records
* Demonstrates a high level of integrity and moral judgment for handling confidential information and monetary transactions
* Able to perform moderate to complex account reconciliations
* Basic knowledge of accounting systems, budgets, and internal controls
We thank all applicants for their interest; however, we will only contact those who best meet our needs and qualifications.
(Please combine your cover letter and resume into one attachment for upload - .doc, .docx, or .pdf only)
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