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Invoice Processing — Receive, review, and enter vendor invoices into the accounting system; verify accuracy, coding, and approvals. Payment Processing — Prepare weekly check runs, ACH payments, and wire transfers. Vendor Management — Maintain vendor files, respond to inquiries, and resolve discrepancies. Statement Reconciliation — Reconcile monthly vendor statements and follow up on missing invoices or credits. Expense Report Review — Audit employee expense reports for accuracy and policy compliance. Purchase Order Matching — Perform 2-way or 3-way matching of POs, packing slips, and invoices. Month-End Support — Assist with accruals, reporting, and AP aging review. Recordkeeping — Maintain organized digital and physical AP files for audit readiness.
Job Responsibility
Receive, review, and enter vendor invoices into the accounting system
verify accuracy, coding, and approvals.
Prepare weekly check runs, ACH payments, and wire transfers.
Maintain vendor files, respond to inquiries, and resolve discrepancies.
Reconcile monthly vendor statements and follow up on missing invoices or credits.
Audit employee expense reports for accuracy and policy compliance.
Perform 2-way or 3-way matching of POs, packing slips, and invoices.
Assist with accruals, reporting, and AP aging review.
Maintain organized digital and physical AP files for audit readiness.
Requirements
Attention to Detail and accuracy in data entry
Basic Accounting Knowledge (debits/credits, accruals, AP workflow)
ERP or Accounting Software Experience (e.g., SAP, Oracle, NetSuite, QuickBooks)