Posted by
Posted in
Banking & Finance
Job Code
1671408

Description:
- Receive, review, and verify invoices and check requests.
- Sort, code, and match invoices.
- Set invoices up for payment and enter them into the accounting system.
b) Payment Mapping:
- Manual Payments should be mapped against the open invoice in the system.
- Post transactions to journals, ledgers, and other records.
c) Account Reconciliation:
- Reconcile accounts payable transactions.
- Monitor accounts to ensure payments are up to date.
- Resolve invoice discrepancies and issues.
d) Vendor Management:
- Maintain vendor files and contact information.
- Communicate with vendors regarding payment inquiries.
- Assist with vendor statement reconciliations
e) Financial Reporting:
- Assist with month-end closing.
- Prepare and analyse accounts payable reports.
- Support the preparation of financial statements and audits.
f) Compliance and Controls:
- Ensure compliance with company policies and procedures.
- Maintain accurate historical records.
- Assist with the implementation and maintenance of internal controls.
- Ensure compliance as per various statutory requirement on TDS, TCS, GST, MSME.
g) Continuous Improvement:
- Identify opportunities for process improvements and implement solutions.
- Stay current with industry best practices and regulatory requirements.
h) AP helpdesk management: Slack Channel, Ticketing System & Mailbox
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Posted by
Posted in
Banking & Finance
Job Code
1671408