Luke Narduzzo
Accounts Payable Manager at Accent Group Limited- Claim this Profile
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Bio
Experience
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Accent Group Limited
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Australia
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Retail
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700 & Above Employee
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Accounts Payable Manager
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Jun 2022 - Present
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Accounts Payable Team Leader - Non Stock
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Aug 2021 - Jun 2022
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Munro Footwear Group
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Australia
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Retail Apparel and Fashion
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200 - 300 Employee
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Accounts Payable Supervisor
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Jul 2018 - Aug 2021
Leading the accounts payable function for Munro Footwear Group with the acquisition of Fusion Retail Brands. I currently manage a team of five team members across general accounts, domestic stock, rent/utilities as well as international stock. Leading the accounts payable function for Munro Footwear Group with the acquisition of Fusion Retail Brands. I currently manage a team of five team members across general accounts, domestic stock, rent/utilities as well as international stock.
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Fusion Retail Brands
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Australia
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Retail
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1 - 100 Employee
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Accounts Payable Officer
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May 2016 - Jun 2018
Responsible for the entering and payment of invoices on a daily basis. Invoices are inclusive of Domestic Stock, General Expense, Contractors, Electricity and Employee Reimbursements Key Responsibilities - Handing a high volume of invoices inclusive of EDI (Electronic Data Interchange) on a daily basis.- Creating payment for invoices on a weekly basis.- Matching domestic stock invoices against their relevant purchase order in Apparel 21 and Retek systems.- Investing discrepancies between purchase orders and invoices- Generating credit note requests, raising faulty stock claims and advertising rebates for relevant vendors on a monthly basis.- Coding and entering invoices on Microsoft Dynamics AX 2012 (Accounting System) in accordance with company processes and polices- Month End accruals for general expenses.- Reconcile Corporate Credit Card Statements for employees- Processing employee expense reimbursements - Reporting on Diana Ferrari Store Services inclusive of Bus Shopping Tours, Customer Styling Sessions and Store Fundraisers Show less
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Finance Officer
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Jul 2014 - May 2016
Responsible for the daily bank reconciliations across 10 bank accounts and managing merchant facilities for all store across the divisions. Key Achievements- Assisted in the implementation and integration of American Express as a tender type within all stores across Australia- Assisted with the rollout of new Commonwealth Bank EFTPOS Terminals across all stores.Key responsibilities:- Managing store banking for 200+ stores across 5 divisions- Processing daily bank reconciliations including AUD, USD and EUR- Liaising with both Commonwealth Bank and American Express and on daily basis - Perform general ledger reconciliations on a monthly basis- Reconcile corporate credit card statements of employees- Processing employee expense reimbursements - Assisting in preparation of the cash flow report- Setting up merchant facilities for new stores. - Calculate and post foreign exchange revaluation journals for foreign currency bank accounts- Reconcile inter-company balances on a monthly basis and investigate any difference- Process bank transfers and payments as required- Loading funds onto gift cards as well as distributing them to stores, when required. Show less
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Coles Group
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Australia
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Retail
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700 & Above Employee
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Team Member
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Jan 2008 - Jun 2015
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Education
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Deakin University
Bachelor of Commerce (BCom), Accounting, Finance and Marketing -
Mazenod College