Accounts Payable Coordinator

Accounts Payable Coordinator

16 Dec 2024
South Carolina, Winstonsalem 00000 Winstonsalem USA

Accounts Payable Coordinator

The Accounts Payable Coordinator position is responsible for accurate accounting records for receipts and/or disbursements within the company. This is a responsible non-supervisory position. Duties include performing a variety of complex clerical and entry-level bookkeeping and accounting tasks, applying accepted procedures to the preparation and maintenance of accounting and other records, and preparing statistical and/or other reports. Reports to the Financial Controller.  The position requires excellent organizational and communication skills.Specific job functions:Monthly DutiesVendor account maintenanceComplete vendor’s credit application (read over terms and conditions and highlight any unreasonable terms)Create accounts once appropriate documents are received (eg vendor approval)Maintain accountsGather and verify banking informationMaintain AP e-mailboxProvide customer service – inquiries, refunds, issue resolutionVendor invoicesReview invoices for accuracy and ensure all necessary documentation and approvals are received and code and process accordingly (including car leases)Run accrual purchase report weekly and ensure PO’s are receivedEnsure 3-way document matching completed.  Raise non-conformance reports (NCR’s) where necessaryEnsure invoices, POs and supporting documents are saved as pdfEnsure timing of cost recognition matches revenue recognitionVendor paymentsReconcile vendor statements, Including Interco StatementsReview vendor aging and take appropriate actionEmail payment remittances once payments are releasedMonth EndFollow up with Operations and Service to ensure all jobs processed and costedComplete month end close procedures as assigned (e.g. payables accruals, GIT inventory, key in journal entries, run exchange update for Purchase Ledger, freight allocation, run aged inventory reports)Review and apply unallocated cash and creditsReconcile petty cash.Prepare journal entry to record credit card transactions and ensure that transactions on credit card are approved via concur download.Prepare Intercompany account reconciliations and balance confirmationsPrepare account reconciliations (eg trade payables, GRN Accruals-Third party, TBD) 

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