Accounts Payable Specialist
Smiths Group View all jobs
- Pune, Maharashtra
- Permanent
- Full-time
- Process PO and Non-PO invoices accurately and efficiently using Esker and SAP
- Download invoices from vendor portals and process them in Esker
- Maintenance of Esker for automation of invoice processing
- Obtaining of approval of Non-Purchase Order invoices in accordance with the Delegated Authorities
- Matching of invoice details to Purchase Order details
- Investigating supplier invoice queries
- Analyze and resolve items in the MRBR (Blocked Invoices) report
- Supporting Internal and External Audits
- Liaising with Purchasing teams for resolution of issues
- Actively participate in weekly collaboration calls with Finance Controllers and the Procurement team
- Monthly reconciliation of Intercompany Balances and accrual of missing invoices
- Post month-end Esker Non-PO accruals and perform timely reversals, ensuring accrual balances at the lowest possible
- Monitoring of the Concur SAP Cockpit and resolution of issues
- Other AP activities as required
- 4-6 years of experience of Accounts Payable
- Good working knowledge of SAP ECC6 is a must
- Experience of working within a Shared Service Centre
- Fast learner with the ability to pick up new systems and processes
- Great attention to detail
- Good communicator with fluency in business English (written and spoken)
- Knowledge of another foreign language is an advantage
- Excellent MS Office skills, particularly Excel (v-lookup, pivot tables) for data analysis
- Numerate with accounting knowledge
- Well organized with strong task management skills
- The ability to work to deadlines and on different shifts, as applicable
- A flexible approach and the ability to work on own initiative is essential.
- A good team player
- Ability to work in a Shared Service Centre environment for multiple companies from various countries
- Ability to cope with month end reporting, tight deadlines
- Ability to create and maintain a good working environment within the finance team, independently manage actions and to resolve disputes
- Reporting to the AP Supervisor and interacting with Head of Accounts Payable SSC, as needed
- Local Procurement teams for resolving blocked invoices
- Financial Controllers for the approval of payment proposals and bank payments
- Contact with vendors to resolve queries and validate changes to sensitive financial information