2 - 7 years
3 - 8 Lacs
Posted:9 hours ago|
Platform:
Work from Office
Full Time
Using scanned invoice, create invoice records for non-PO invoices by inputting invoice header information and ensure all necessary fields in Customers ERP system have been accurately input.
Verify invoice has not been previously entered or paid (no duplicate entry)
Verify all invoices are appropriately approved using the approval matrix spreadsheet (both approvers respective dollar limit and cost center / business unit authority)
Route invoices through for coding and approval
Validate and approve the invoice
Track, monitor and follow up with Customer for timely completion of tasks / exceptions / approvals
Maintain a business critical tracker (utility, rent tracker”) to monitor that all business critical payments are made on a timely and accurate basis.
Post invoices in ERP
Using scanned invoice, create invoice records for PO invoices by inputting invoice header information and ensure all necessary fields in Customer’s ERP system have been accurately input.
Verify invoice has not been previously entered or paid (no duplicate entry)
Verify a 2-way and 3-way match for all invoices
Verify all invoices are appropriately approved and there are no deviations from the original PO or deviations are within the approved threshold
Cancel/undo goods receipt in ERP in case of price & quantity variances
Route it to Customer for necessary approvals to create / amend PO
Review, validate and provide approval to create / amend PO
Create / amend PO with necessary approvals
Assist with the creation of PO's by entering data into ERP based on information provided by Customer
Track, monitor and follow up with Customer for timely completion of tasks / exceptions / approvals
Post Invoices in ERP
Create payment registers for all payments to be processed as per the Customer payment calendar
Check the payment terms if it is according to standard payment terms
Check for any duplicate payments
Send any exceptions to payment terms
Send invoices on hold report with reasons
Approval of payments
Approval of exception payment release
Print checks and perform positive pay process
Sort checks for distribution and disbursements
Initiate WIRE / ACH / EFT payments
Validate and approve WIRE / ACH / EFT payments
Perform entry of payment into TWS or Customer bank
Receive daily email notification, if any on positive pay exceptions
Validate and approve payments in TWS or Customer bank
Research the reason and action to ensure closure of all payment processing exception cases
Respond to inquiries received via AP help desk mailbox / phone line
Resolve all AP related discrepancies, if escalation required, escalate via agreed escalation matrix
Resolve all inquiries related to PO creation
Design, implement and monitor customer satisfaction surveys to track success of the help desk
Supervise and provide direction to the Supplier team as necessary
Send the approved vendor setup form
Check for duplicate vendor setup
Validate if vendor set up form is approved by authorized Customer personnel
Contact vendor for ACH instruction (to be obtained in PDF non-editable format) in company letterhead
Fill up a vendor maintenance form when updates are required for address/terms/payment method
Approval for vendor set up / changes, including any vendor risk assessment processes
Track, monitor and follow up with Customer for timely completion of tasks / exceptions / approvals
Request for activation and inactivation of vendors, including a quarterly vendor deactivation process
Accurately and timely setup vendor in accordance with vendor creations form received from Customer
Validate payment terms (initial check and periodic verification)
Inform Customer / requestor that vendor has been setup
Submit travel expense claims in the ERP / system
Approval of expense claims
Follow up with Customer for timely completion of tasks / exceptions / approvals
Post the expense reports in ERP / system
Create payment proposals
Approval of payment release
Print checks and perform positive pay process
Sort checks for distribution and disbursements
Initiate WIRE / ACH / EFT payments
Validate and approve WIRE / ACH / EFT payments
Receive daily email notification, if any on positive pay exceptions
Research the reason and action to ensure closure of the cases
Respond to employee queries regarding their expense reports
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