Experience
2 - 4 yrs
Job Location
Bengaluru, India
Vacancy
1
Designation
Accounts Payable and Accounts Receivable Specialist
Job Type
ONSITE
Job Description
Diensten Tech Limited is looking for Accounts Payable\/Receivable Specialist to join our dynamic team and embark on a rewarding career journey
Invoice Processing: Receiving, reviewing, and processing incoming invoices from suppliers and vendors for goods and services provided
Verification and Validation: Ensuring the accuracy and validity of invoices by verifying quantities, prices, terms, and other details against purchase orders and agreements
Vendor Communication: Interacting with vendors and suppliers to resolve discrepancies, clarify invoice details, and address payment-related inquiries
Purchase Order Matching: Matching invoices with corresponding purchase orders and receiving reports to ensure proper authorization and receipt of goods or services
Data Entry and Coding: Accurately entering invoice data into the accounting system and assigning appropriate account codes for tracking and reporting purposes
Expense Coding: Allocating expenses to the correct cost centers, departments, or projects as per the company's chart of accounts
Payment Processing: Preparing and scheduling payments to vendors within agreed-upon payment terms, which may involve checks, electronic transfers, or other payment methods
Vendor Reconciliation: Reconciling vendor statements and accounts to resolve any discrepancies and ensure accurate payment records
Record Keeping: Maintaining organized and up-to-date records of invoices, payments, and related documentation for audit and reporting purposes
Compliance: Ensuring compliance with company policies, financial regulations, and tax requirements related to accounts payable
Invoice Processing: Receiving, reviewing, and processing incoming invoices from suppliers and vendors for goods and services provided
Verification and Validation: Ensuring the accuracy and validity of invoices by verifying quantities, prices, terms, and other details against purchase orders and agreements
Vendor Communication: Interacting with vendors and suppliers to resolve discrepancies, clarify invoice details, and address payment-related inquiries
Purchase Order Matching: Matching invoices with corresponding purchase orders and receiving reports to ensure proper authorization and receipt of goods or services
Data Entry and Coding: Accurately entering invoice data into the accounting system and assigning appropriate account codes for tracking and reporting purposes
Expense Coding: Allocating expenses to the correct cost centers, departments, or projects as per the company's chart of accounts
Payment Processing: Preparing and scheduling payments to vendors within agreed-upon payment terms, which may involve checks, electronic transfers, or other payment methods
Vendor Reconciliation: Reconciling vendor statements and accounts to resolve any discrepancies and ensure accurate payment records
Record Keeping: Maintaining organized and up-to-date records of invoices, payments, and related documentation for audit and reporting purposes
Compliance: Ensuring compliance with company policies, financial regulations, and tax requirements related to accounts payable
No Referrers Available
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