Finance
Accounts Payable
Accounts Payable at °×С½ãÂÛ̳ manages supplier invoices, expenses, and foreign payments. We handle new supplier setups, purchase ledger control, and approve orders over £50k. Additionally, we also evaluate self-employment status applications.
The Accounts Payable team can help with the following:
- Invoice management
- Bank detail set up
- Batch Processing
- Payment processing
- Expenses processing
- Supplier set up
- Purchasing Cards
Credit Control
The Credit Control team minimises debt exposure by managing various debts, handling customer accounts, conducting credit checks, and addressing queries. WeÌýalso code income, process adjustments, reconcile foreign bank accounts, and issue invoices. Additionally, weÌýprovide assistance with accounts receivable and generateÌýmonthly reports on debtors' positions.
The Credit ControlÌýteam can help with the following:
- Incoming Payment AdministrationÌý
- Sales Ledger Administration
- Customer Account Management
- Reconcilliations/Reports/Statements
- Cheque Administration
- Customer Onboarding and Data Administration
NHS Billings
The NHS Billing team ensures timely payments for °×С½ãÂÛ̳-employed clinical academics from NHS Trusts and other government health providers. We work with academic departments, HR services, and healthcare partners.ÌýWe make the process smoother byÌýcompiling, managing, and reviewing information for approval and payment.ÌýAdditionally, we alsoÌýwork with the Credit Control team for debt recovery.
The NHS Billings team can help with the following:
- Departmental Transaction Requests
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- Reconcilliation
- Invoicing
- Funding Administration
- NHS Recharges
- Consultant Clinical Pay
Student Fees
The Student Fees team handles tuition fees. We process payments and record fee-related income. We alsoÌýfollow up with debtors, enforce policy sanctions, and manage fee refunds. For detailed information on fees and funding for students, visit Fees and funding for students.
In addition,Ìýwe administer the setting of tuition fees and Additional Fee Element (AFE) for Research studentsÌý- visit the .
For more details, check theÌýprocess guidelines:
- Fee charging
- Creating an invoice (Digital) in accordance with the students' fees' record
- SLC Administration
- Sponsor Administration
- Fee Income Allocation
Treasury
Treasury oversees °×С½ãÂÛ̳'s cash management.ÌýThis includesÌýbank accounts, accounting, reconciliations, income control, and surplus cash investment. It also includesÌýfraud prevention, cash flow, regulatory bank compliance,Ìýadherence to sanctions, and KYC requirements.
The Treasury team can help with the following:
- Daily analysis of cash position
- Devising/disseminating procedures for receipting cash and making payments
- Identification of miscellaneous income, ensuring accurate recording in MyFinance of all cash receipts and payments
- Monthly reconciliation of 25+ bank and control accounts
- Ensuring compliance with PCIDSS requirements