Transactional Services
The Transactional Services Team house the following teams:
Back Office
Front Office
School Transaction Support
The team support the entire University community by providing an efficient and effective operation whilst undertaking the processes & activities listed below.
Back Office Team
Accounts Payable:
- Online Expenses (Employees)
 - Paper Expenses (Student & Visitor)
 - Travel Advances
 - Supplier Payments
 - Supplier Invoices & Credit Notes
 - Supplier Statements
 - Purchase Order Termination
 
Accounts Receivable:
- Student Bursary & Stipend Payments
 - Student Refunds
 - Customer Refunds
 - Sales Order Processing (SOP)
 - Kinetics Invoicing
 
General Ledger:
- Bank Reconciliations
 - CHAPs Payments
 - Control Account Reconciliations
 - Direct Debit Processing
 - Foreign Payments
 - Posting of BIFs
 
Front Office Team
Receipts Office:
- Telephone & Electronic Payment Allocation & Reconciliation
 - Cheque Receipts & Returns
 - Catering Outlet Payment Reconciliation
 - Counter Tasks
 - Mailboxes:
 
Receipts | 
receipts@reading.ac.uk | 
Catering | 
cateringfloats@reading.ac.uk | 
Finance Help | 
finance-help@reading.ac.uk | 
Credit Control:
- Sundry & Student Debt Collection
 - Sundry & Student Payment Disputes
 - Sundry Credit Reviews
 - Mailboxes:
 
Sundry Credit Control | 
creditcontrol@reading.ac.uk | 
Student Credit Control | 
studentcreditcontrol@reading.ac.uk | 
SOP | 
sop@reading.ac.uk | 
Master Data:
- Supplier, New Accounts & Amendments
 - Customer, New Accounts & Amendments
 
Purchase Cards:
- Purchase Card Set Up & Issuing
 - Purchase Card Management
 
School Transaction Support
Supporting the following schools: SCFP, SBS, SAPD, SMPS & SPCLS
- Process P2P Requisitions
 - Process Purchase Card Transactions
 - Process Sales Orders
 - Good Receipting
 - Process New Supplier Setup Requests
 - Process New Customer Setup Requests
 - Process Internal Charges/BIFs
 - General Transactional & Financial Queries