The incumbent, in will be part of a team responsible for performing tasks within the Purchase to Pay (P2P) Pay) process (Accounts Payable and Travel Expense) as well as your involvement during the Month End Closing activities.
Main duties and responsibilities:
- Creation of suppliers and supplier banks
- Processing of incoming invoices including PO matching
- Follow up on match/holds exceptions.
- Verifying that the invoices comply with policies and procedures.
- Preparing and processing payments
- Processing prepayments and follow up on prepaid invoices.
- Handling statements
- Validating purchase order data and transmitting it to the supplier
- Follow up on transactions on the Accounts Payables Ageing
- Follow up on open Purchase Orders and invoices on hold.
- Follow up on outstanding invoices.
- Tasks related to the month-end closing.
- Auditing expense reports
- Handling and responding to inquiries (Internal and external)
- Assisting P2P manager/Team lead
- Any other duties and responsibilities assigned to you by the Finance Operations Manager from time to time.
- Ensure that work carried meets the requirements of the Group Integrity and Confidentiality standards and procedures.
- Any other duties and responsibilities assigned to you by the Team Lead and Finance Operations Manager from time to time.