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About the Role
- Process PO and non-PO invoices by validating documentation (invoice, PO, packing slip,receiving ticket) in D365
- Reconcile invoice quantities and pricing against purchase orders and receiving records
- Apply correct GL codes to expense reports, credit card charges, and manual checkrequests
- Resolve discrepancies (price variances, incorrect quantities, payment terms) incoordination with operations and vendors
- Manage vendor accounts, reconcile monthly statements, and support W-9 updates andannual 1099 filings
- Prepare bi-weekly AP cash requirement reports for the accounting team
- Perform monthly GL account reconciliations related to AP activities
- Allocate expenses (travel, advertising, trade shows) to the correct cost centers anddimensions
- Participate in ad hoc finance projects and provide cross-functional support
Qualifications:
- Bachelor’s degree in Accounting, Finance, or rela...
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