Position Overview
Description
Invoice Processing β Receive, review, and enter vendor invoices into the accounting system; verify accuracy, coding, and approvals.
Payment Processing β Prepare weekly check runs, ACH payments, and wire transfers.
Vendor Management β Maintain vendor files, respond to inquiries, and resolve discrepancies.
Statement Reconciliation β Reconcile monthly vendor statements and follow up on missing invoices or credits.
Expense Report Review β Audit employee expense reports for accuracy and policy compliance.
Purchase Order Matching β Perform 2βway or 3βway matching of POs, packing slips, and invoices.
MonthβEnd Support β Assist with accruals, reporting, and AP aging review.
Recordkeeping β Maintain organized digital and physical AP files for audit readiness.
Requirements
+ Attention to Detail and accuracy in data entry
+ Basic Accounting Knowledge (debits/credits, accruals, AP workflow)
<...