Processes accounts payable invoices for payment. This position will work with department leadership to process invoices for general ledger coding and vendor payment. Provides customer service to requisitioners and approvers to assist with accurate and timely processing for payments. Manages all correspondence with vendors and providers regarding invoice payment. Other duties as assigned.
This position is considered Hybrid, which means that individuals in this position may work both at an approved Offsite location and
Onsite at a primary location or multiple locations based on Business Needs
Essential Duties:
Performs all activities necessary to process weekly accounts payable, including maintaining related records, entering accounts
payable transactions and documents
Processing invoices for payments
Verifies accounts payable by reconciling invoices and statements to contracts and purchase orders for multiple entities.
Managing accounts payable using accounting software and other programs
Handling accounts payable for separate entities and vendors
Prepares correction entries as needed by collecting and analyzing account information
Establishing and maintaining relationships with new and existing vendors
Review invoices for required approvals and correct pricing.
Ensures bills are paid in a timely and accurate manner while adhering to departmental procedures and governmental
regulations
Resolves account discrepancies by investigating documentation, payments or adjustments.
Organizes accounts payable for processing, verifying correct accounting transaction and/or vendor information.
Responds to vendor & staff requests regarding payment status, research of past invoices, resolution of payment errors
Comparing contracts and purchase order, prices, terms of payment and other charges
Validates expenditures against contract not-to-exceed amounts NTE
Assists GL accountant with pulling backup for I/C transactions for related entities
Scanning and properly filing electronic documents for easy retrieval by others including checks & invoices paid, journal entries
with backup, deposits, bank statement, bank reconciliations, AP batches, etc.
Reviews/verifies the work/accounts of others.
Maintains accounting controls and financial security by following policies, procedures internal controls.
Resolve vendor issues including coordinating stop payments, reissues or adjustments, and clarify any questionable
invoice items, prices or receiving signatures.
Assists with special projects as assigned.
Other duties as assigned, including department cross training and back up for other roles.
MINIMUM EDUCATION:
PREFERRED EDUCATION:
MINIMUM EXPERIENCE:
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