Openings for AP_P2P2-4Yearsnoida
Ensuring accuracy and quality, application of appropriate taxes / VAT on invoices
Monitor Purchase Orders and liaise with procurement team for PO receipting / GRN and resolving
PO discrepancies
Manage Accruals (book & reverse accruals) for Project & non-project activities
...
Process Intercompany invoices (book & allocate)
Supplier Payments as per payments calendar including BACS, WIRE / Foreign, and EFT
payments
Resolve, in collaboration with Operations, supplier billing discrepancies, and related inquiries
Perform a 3-way match
Book invoices
Scan received invoices
Process Suppliers invoices:
Process employee's expenses
Audit time & expenses reports
Assign expenses to relevant projects/cost centers
Prepare payment runs related to expenses
Process accounts payable adjustments for errors or omissions
Create and produce accounts payable-related reports for management or another review
Help desk for internal and external requests
Performing vendor and account reconciliations, open balances analysis, and other
AP month-end activities
In addition to the above-mentioned tasks, the jobholder may be asked from time to time to assist
with other activities within GBS
experience
4show more
Openings for AP_P2P2-4Yearsnoida
Ensuring accuracy and quality, application of appropriate taxes / VAT on invoices
Monitor Purchase Orders and liaise with procurement team for PO receipting / GRN and resolving
PO discrepancies
Manage Accruals (book & reverse accruals) for Project & non-project activities
Process Intercompany invoices (book & allocate)
Supplier Payments as per payments calendar including BACS, WIRE / Foreign, and EFT
payments
Resolve, in collaboration with Operations, supplier billing discrepancies, and related inquiries
Perform a 3-way match
Book invoices
Scan received invoices
Process Suppliers invoices:
Process employee's expenses
Audit time & expenses reports
Assign expenses to relevant projects/cost centers
Prepare payment runs related to expenses
Process accounts payable adjustments for errors or omissions
Create and produce accounts payable-related reports for management or another review
Help desk for internal and external requests
Performing vendor and account reconciliations, open balances analysis, and other
AP month-end activities
...
In addition to the above-mentioned tasks, the jobholder may be asked from time to time to assist
with other activities within GBS
experience
4show more