Basic Purpose This person will function as an accounts payable specialist and is responsible for all of the duties and functions as dictated by the Policies and Procedures in order to ensure effective, efficient and accurate financial information.
These duties and responsibilities are not set forth for the purpose of limiting the assignment of work.
This is not to be construed as a complete list of duties.
This position may include occasional overtime.
Daily Duties
Print and distribute all invoices to appropriate AP Staff for processing.
Review statements and requests for payment status.
Open and date stamp both inter-facility and outside mail daily and distribute to the proper individuals
Forward non-PO invoices for assigned companies to appropriate Manager for approvalHandle all vendor phone calls for assigned companiesResearch and resolve invoice discrepancies and issues timelyPerform 3-way match (PO, Invoice, Goods Receipt) for assigned companies and communicate discrepancies (quantities, pricing, outstanding receipts, etc.) to the Purchasing DepartmentRespond to all emails and voicemails dailyScan all invoices to the electronic invoice storage system Weekly DutiesSet invoices up for payment and run checks / ACHs weekly (or as needed) and match to the appropriate invoices and other supportSeparate checks requiring dual-authorization and give to AP Supervisor for reviewMail signed checks and required attachmentsFile paid invoices timely and save copies of scanned checks to Accounting folderScan copies of invoices posted to the GL prepaid account to the network Accounting folder along with copy of remittance support when paidReview PO Clearing and Open PO reports to address missing or problem invoices Monthly DutiesEscalate invoice issues to AP Supervisor as identifiedMeet monthly with AP Supervisor to review outstanding items prior to monthly closeCut 1st of the month checks as scheduled for doctors, rents and other miscellaneous transactionsAudit AP processed invoice binders-compare to AP Trial Balance report-investigate and correct any discrepanciesReview expenses in GL for each assigned company and make corrections as needed or contact vendor if missing invoices are identified Miscellaneous DutiesReview vendor statements monthly / quarterly / annually as needed and maintain on tracking worksheet.Assist with year-end audit by providing supporting documentationAssist AP Supervisor with preparing Forms 1099 and 1096 for government reportingComplete Healthstream assignments timelyAttend relevant training sessions in-house and / or attend outside job related seminars if available during the yearOrder office and coffee supplies for Finance staff when neededOther projects as assigned EDUCATION, EXPERIENCE TRAINING AND LICENSES / REGISTRATIONS :High School Diploma or GED (Required)Minimum 1 year experience in Accounts Payable (Required) KNOWLEDGE AND SKILLS : Knowledge o Knowledge of accounts payable, Sage 100 experience is a plus o Typing and computer skills o Proficiency in MS Office.Intermediate proficiency in Excel preferred.Skills o Ability to organize and set priorities o Strong attention to detail o Communicates clearly and professionally o Problem solving o Can work independently and in a team environment o Maintain confidentiality Powered by JazzHR