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Key Responsibilities: Review, verify, code, and process vendor invoices in accordance with established policies and approved budgets; Obtain required approvals and ensure accurate cost center and dimensional coding; Enter accounts payable transactions in Microsoft Dynamics; Prepare weekly A/P packets with complete and appropriate supporting documentation; Record payments in Microsoft Dynamics following bank processing; Maintain vendor files, including banking details, W‑9s, and other required tax documentation; Support 1099 preparation and annual reporting requirements; Prepare and reconcile prepaid and accrued expense accounts; Support month‑end close activities and related reconciliations; Post approved adjusting journal entries; Code and reconcile employee expense reports, including Concur, Expensya, and corporate credit card transactions; Prepare Capital One credit card detail and related journal entries; Allocate freight and logistics invoices, including UPS, to appropriate cost centers and dimensions; Complete medical, dental, and vision benefit allocation schedules for dimensional reporting; Assist with purchase clearing activities; Assist with budgeting, cash flow support, and ad hoc financial analysis; Perform scanning, filing, and record retention in accordance with internal control requirements
Job Responsibility
Review, verify, code, and process vendor invoices in accordance with established policies and approved budgets
Obtain required approvals and ensure accurate cost center and dimensional coding
Enter accounts payable transactions in Microsoft Dynamics
Prepare weekly A/P packets with complete and appropriate supporting documentation
Record payments in Microsoft Dynamics following bank processing
Maintain vendor files, including banking details, W-9s, and other required tax documentation
Support 1099 preparation and annual reporting requirements
Prepare and reconcile prepaid and accrued expense accounts
Support month-end close activities and related reconciliations
Post approved adjusting journal entries
Code and reconcile employee expense reports, including Concur, Expensya, and corporate credit card transactions
Prepare Capital One credit card detail and related journal entries
Allocate freight and logistics invoices, including UPS, to appropriate cost centers and dimensions
Complete medical, dental, and vision benefit allocation schedules for dimensional reporting
Assist with purchase clearing activities
Assist with budgeting, cash flow support, and ad hoc financial analysis
Perform scanning, filing, and record retention in accordance with internal control requirements
Requirements
Minimum two years of experience in an accounts payable or accounting role, or a Bachelor's degree in Accounting
Solid understanding of bookkeeping and fundamental accounting principles
Strong Excel skills, including pivot tables and XLOOKUPs, with experience preparing reconciliation schedules
Experience working with general ledger systems
Microsoft Dynamics experience preferred
High attention to detail, accuracy, and strong organizational skills
Strong problem-solving skills with the ability to independently follow issues through resolution
Professional communication skills and the ability to work effectively with internal and external stakeholders