Shell STAS - Cash Allocation/App.&Rec. Analyst - Youthall

Shell

STAS - Cash Allocation/App.&Rec. Analyst

Being Evaluated.

Bu ilan Shell Petrol A.Ş'nin, Open Resourcing (Açık İstihdam) sisteminin Global Workday alt yapısı çerçevesinde güncellenmesi sonrası erişiminin olmaması nedeniyle Shell Petrol A.Ş. çalışanlarının ilanlara başvuru yapabilmesi için özel olarak yayımlanmıştır. ​

Paylaşılacak ilan linkleri Shell Çalışanları dışında 3. Şahıslar ile paylaşmamanız şirket içi bilgilerin gizliliği açısından çok büyük önem taşımaktadır.


İlan Tanımı

Job Family Group: Finance

Management Level: 07

Present Company: TR03 Shell & Turcas Petrol A.S

Country/Region of Work Location: Türkiye

Target Hire Date: November 1, 2025

Worker Type: Regular

Posting End Date: October 1, 2025

Business Unit: Finance

Job Requisition ID: R188731

Location: Istanbul - Esentepe

Posting Date: 23/09/2025 

Job Family: Finance Reporting and Accounting

Time Type: Full time

Job Type: Regular

Supervisory Organization:  FDR/RTC1 Debt Collection (Burhan Findik) (54104029)

Job Description:

PURPOSE

The purpose of this role is to ensure the proper handling and accounting of payments from 3rd party customers through the identification of customer and possible need for allocation into the right invoice.

Responsible of handling all incoming cash coming from customers through the various payment methods in which we offer (EFT, Direct Debit, Wire Transfer, etc.) incl maintenance of AR Customer Master Data in relation to Direct Debit Mandates.

To ensure that bank balances and sub-ledger accounts of customers are balanced.

To ensure that cash application is completed in an accurate and timely manner in accordance with Credit Manual.

DESCRIPTION

Cash Allocation and Application

- Validate completed Direct Debit Instructions and run daily reports from bank for any missing Direct Debit Data.

- Responsible for ensuring timely reversal of DD rejection whilst following up with relevant stakeholders.

- Analyse unidentified missing receipts and communicates directly with Treasury Back Office, Business or other relevant parties to ensure resolution within prescribed timeline.

- Produce details to be input to weekly and monthly control reports and MI – such as unallocated and unapplied cash details.

- Ensure performance metrics are met and perform the monthly reconciliation of general ledger accounts.

- Ensure that all debit and credit balances on customer’s accounts statement is worked to conclusion through either payments or adjustments, for those accounts where there are no assigned Debt Collectors.

- Perform daily clearing activities

- Perform and own the general ledger account reconciliation process.

- Responsible for providing information on balance of customer accounts (BA&BS) on the regular basis and according to the agreed form.

- Ensure that all cash is entered into the system, banked on the due date and that receipts are applied to customer accounts. This is critical to managing the exposure levels of our customers and to our debt collection teams effectiveness.

Customer Account Reconciliation

- Perform daily customer account reconciliation to ensure timely collection of cash and avoid overdues.

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