Maintaining vendor files with proper documentation and records, including 1099 information for tax purposes
Maintain Vendor files in the accounting platform (electronic).
Reconcile Vendor statements.
Auditing credit card statements
Ensure Proper support documentation for each transaction.
Process and auditing of vendor bills, payments, and credit memos.
Manage recuring transactions.
Provide Customer Service phone/email
Ad hoc reporting as requested.
Satisfy Audit requests.
Working with vendors and managers to clear any discrepancies or questions
Assisting in Accounts Payable monthly close
Understand and adhere to policies and procedures directed.
Act within policies outlined by the US GAAP
Annual preparation of 1099/1096 tax forms
Key Responsibilities:
Deliver processes as per client SLA\xe2\x80\x99s and achieve the targets set for the same.
Preparation of various reports for Team Performance and Analysis
Should be able to communicate with US team/Vendors and or clients as needed.
Working on different projects as and when required
Educational Qualifications: BCOM/MCOMWork Experience: 4-6 Years of Accounts Payable/P2P with Accounting Background.Required Skills:
Fluent English language skills
Excellent written skills
Proficient in MS Office products
Working knowledge of Bill.com, NetSuite, Sage Intacct, or Financial Edge a plus
Accounting background, good at working in a team or independently, strong communication skills
Required to work in rotational shifts or fixed US working hours - based on the Business requirement.
Prior work experience in MNC & matrix organization
Working Days: 5 days - Monday - Friday Working Hours:
9 hours (US work Shift Pattern), Hybrid (mix of WFO & WFH). The working hours may get extended due to nature of the business.
Travel to other company locations or client offices may be necessary, as well as physical presence at company meetings with other offices throughout the globe.