Job Description
Job Responsibilities:
- Receiving, sorting, verifying, exception handling, bar coding, scanning, pre-archiving AP documents for further processing
- Validate and Process PO and contract based invoices, Non-PO invoices, prepayments/down payments, etc.
- Review of supplier open items (due invoices, credit notes, debit balance, etc.) before execution of payment
- Prepares batch check runs, wire transfers, and ACH transactions.
- Investigate and Reverse Non-Successful Payments
- Perform month end closing activities according to the predefined schedule
- Prepare monthly, quarterly or yearly reporting, e.g. monthly KPI report and other operational reports subject to the affiliates requirements
- Perform AP balance sheet accounts reconciliations and clearing of aged items, e.g. GR/IR, GIT, Suspense account, etc.
- Perform supplier statement of account reconciliation and follow up on open items for closure
- Handling internal and external queries
- Manage vendor relations and build effective partnerships.
- Resolve all queries within the agreed timeline
- Participate in any compliance audits and respond to audit queries if necessary
- Perform back up function and other duties, including job rotation to other functional teams as and when required under “Buddy System”
- Participate and support the teams in the implementation of projects
- Assists with system integration and testing as and when required
- Initiates process improvements and participate in implementation of process improvement projects
- Performs some part of MDGS data verification
Key Accountabilities:
- Ensure suppliers and intercompany invoices are processed timely and accurately within the SLA
- Ensure suppliers invoices are paid on time according to the agreed payment term
- Ensure intercompany invoices are paid according to intercompany payment schedule
- Ensure all work documentation and work processes are updated and meet with Internal Control Financial Reporting (ICFR), group policies and guidelines, local statutory and legal requirements within agreed service timelines.
- Ensure timeliness and accuracy of AP month end closing activities
- Ensure internal and external queries are attended timely within the SLA
The above job description is not intended to be an all-inclusive list of duties and standards of the position. Incumbents will follow any other instructions, and perform any other related duties, as assigned by their Assistant Managers and Managers.
Qualifications & Experience Required
- Candidate must possess at least a Diploma, Advanced/Higher/Graduate Diploma, Bachelors Degree, Economics, Finance/Accountancy/Banking, Business Studies/Administration/Management, Commerce or equivalent.
- Good communication skill and able to communicate effectively in English.
- SAP knowledge or other ERP accounting systems and MS Office tools is preferable.
- No work experience required.
- Able to work at least six (6) months of internship duration.