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Disbursement Specialist - Burnaby, British Columbia, Canada (# 1593)

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À propos de nous

Ritchie Bros. (NYSE and TSX: RBA) is a global asset management and disposition company, offering customers end-to-end solutions for buying and selling used heavy equipment, trucks and other assets in numerous industries including construction, transportation, agriculture, energy, oil and gas, mining, and forestry. Our mission is to create compelling business solutions for the world's builders to easily and confidently exchange equipment. Learn more about us at: https://www.ritchiebros.com/ 

À propos de l'équipe

As a global company, our corporate teams support billions of dollars in equipment sales every year.   

In joining our corporate services teams, you will be ensuring the business runs smoothly in your respective verticals and supporting the overall business to achieve our core objectives.  

Every day your work will make a difference in the way we run our business and the in the way customers interact with us.  

Description du poste

The Disbursements Specialist is responsible for high volume processing of consignment for Canadian and USD markets. The primary mandate for the Specialist will be to ensure all consignments are paid on time and that appropriate remittance processes and systems are adhered to.

 

 

Responsabilités

Key Responsibilities

  • Review, verify, and process consignment files to create settlement statements and issue accurate payments for consignments in accordance with the company’s contractual obligations.
  • Follow up and obtain clarification on any discrepancies or inaccuracies on invoices and settlement statements.
  • Use pre-set guidelines to code invoices to the general ledger.
  • Investigate and resolve any unpaid or late payments.
  • Process cheque runs, electronic funds transfers, and wire payments to consignors, lien holders and suppliers in a timely manner.
  • Reconcile settlement statements to the general ledger prior to mail-out and month end. 
  • Reconcile repair & hauling accounts to ensure recovery of funds.
  • Balance commissions in various systems.
  • Ensure coding on cost refunds/changes is correct.
  • Prepare weekly Delayed and Outstanding Payment report and follow-up for explanations for the delays.
  • Liaise with Search and Review departments to continually monitor files ready for settlement statements, post-sale changes, and corrections such as price adjustments, deductions, and bills for deficiencies.
  • Prepare Monthly reconciliations for assigned accounts to identify and resolve unreconciled items.

 

General Responsibilities

 

  • Responsible for seller and lienholder payments to be paid within contractual obligations.
  • Research and respond to consignor and supplier inquiries.
  • Responsible for maintaining the electronic funds transfer and wire information database.
  • Collects, verifies and maintains accurate and complete information on applicable suppliers.
  • Assist with month end closing and reporting.
  • Performs other accounting administrative duties as required.
  • Flexibility and willingness to work varied hours and occasional overtime hours.

Qualifications

  • Degree in accounting or a combination of experience and education. 
  • 2-3 years – accounting experience, AP administrator, account reconciliation, customer service experience preferred
  • Experience with Oracle EBS or Oracle Cloud is an asset
  • Proficiency with Microsoft Excel and word.
  • Fluent verbal and written communication skills in English.
  • Organized, detailed-oriented and able to multi-task in a fast-paced environment.
  • Expected salary for this role is $54,200.00. 

EEOC

Ritchie Bros. is an equal opportunity employer and ensures nondiscrimination in all activities in accordance with all applicable laws. This position is open to all qualified applicants who are legally entitled to work in the country in which this job is located. Candidate selection is made by Talent Acquisition. Only electronic applications can be accepted.

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Attributs du poste

ID du poste

1593

Catégorie

Finance

Type d’emploi

Hybride

Lieu de l’emploi

Burnaby, British Columbia, Canada

Type du poste

Temps plein