The Finance Group Global Inc
North York, ON
Fermé
Détails de l'emploi :
- Collaborate with the Operations and Sales teams to ensure the Client invoice captures the work completed.
- Create and send invoices to Clients.
- Communicate with Clients to follow-up on outstanding invoices.
- Identify and escalate risks to collection to the Controller.
- Ensure the accounting software is up-to-date daily with payments received from Clients.
- Reconcile A/P bills with Purchase Orders (POs) and Packing Slips, completing a 3-way match.
- Accurately enter and maintain A/P information into the accounting software,
- Prepare payments for signing authorities to complete and approve.
- Resolve all vendor issues. Identify and communicate risks to the Controller.
- Reconcile monthly vendor statements and communicate with our vendors when payments are made and if missing vendor bills.
- Manage the open POs and follow-up with the Purchaser to close POs.
- Complete Bank and G/L account reconciliations according to the month-end calendar.
- Identify and communicate reconciliation discrepancies to the Controller.
- Complete reporting and analysis based on the month-end calendar.
- Ad-hoc analysis to be completed as requested.
- Maintain open and effective communication with cross-functional teams.
- Collaborate with cross-functional teams to ensure information entered in the accounting software is whole and accurate.
- Identify opportunities for process improvements, cost reduction, and efficiency enhancements.
- Manage inventory levels of office & kitchen supplies.
- Receive and send voicemail and faxes to the appropriate team member.
- Complete the appropriate Health and Safety Training as required throughout your career.