Accounts Payable Specialist
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Accounts Payable Specialist at Dentons: Warsaw, Польща; Гібридно; Повна зайнятість; Середній рівень; Фінанси, право та комплаєнс. JobGrid adds normalized role facts, source context, and a path to the employer application page so candidates can compare the listing before applying.
- Location and workplace: Warsaw, Польща, Гібридно
- Role classification: Фінанси, право та комплаєнс, Повна зайнятість, Середній рівень
- Source freshness: checked by JobGrid on 2026-05-30.
- Application path: candidates continue to the employer application page with non-personal referral tags.
About the company
Dentons Business Services EMEA serves as the operational backbone of Dentons, supporting the world’s largest law firm in delivering exceptional service to clients across Europe, the Middle East, and Africa.
As a crucial component of Dentons' global network, our EMEA business services team plays a key role in driving efficiency, innovation, and collaboration.
At Dentons Business Services EMEA, we are committed to excellence in supporting legal professionals with cutting-edge solutions. Our dynamic and diverse team collaborates seamlessly to provide a wide range of services, including finance, IT, human resources, marketing, and more. We pride ourselves on fostering a culture of continuous improvement and adaptability.
About the opportunity
Dentons Business Services EMEA is currently seeking an Accounts Payable Specialist to join our Warsaw office.
This individual will be working in the Accounts Payable team for Dentons UK and Middle East LLP based in Warsaw, primarily responsible for one of the roles described below involving the handling of routine cash transactions for the firm. However, over time, training will be provided to the individual in order to cover all of the roles below for absences as required.
About the role
Accounts Payable – Suppliers
- Process and manage AP transactions, including invoices, expense claims, and payment runs (covering various offices in the UKME region).
- Assist with month-end and year-end closing activities.
- Generate the weekly supplier payment run from our practice management system (Elite).
- Creating all new Vendor/Employee accounts and verify all bank details on Elite.
- Vendor balance reconciliation.
- Bank reconciliation and credit allocations.
- Assisting the UK Cashiers Manager with any ad hoc duties, as appropriate.
- Answering any queries from suppliers.
- Collaborate with internal teams to ensure compliance with company policies and procedures.