Over 7 to 10 years of experience in a similar role, preferably in a corporate or multinational environment
Intermediate to Advanced Excel skills
Key Competencies
Accounts Payable Expertise: Strong knowledge and experience in accounts payable processes and procedures
Foreign Creditors Management: Familiarity with foreign creditors' processes and requirements, including currency exchange and international payment methods
Team Collaboration: Ability to work effectively as part of a team, communicating openly and collaboratively with colleagues and stakeholders
ERP System Proficiency: Proficiency in using ERP systems such as Syspro, SAP, or Oracle for financial transactions and reporting
Duties and Responsibilities
Payment Compilation and Submission
Compile and submit payments for release according to agreed creditor terms, ensuring accuracy and adherence to payment schedules
Paper Trail Submission
Submit payments on Paper trail for release as per agreed terms, verifying all details for accuracy and completeness
Ledger Allocations and GRNs
Accurately assign ledger allocations and GRNs to ensure proper accounting of expenses and minimize discrepancies
Adjustment Measurement
Monitor and measure adjustments passed in AP, ensuring adjustments remain within acceptable limits (less than 5% of total output)
Authorization Compliance
Ensure all costs and expenditures are authorized according to the Delegation of Authority (DOA), minimizing errors and discrepancies
Account Reconciliation
Reconcile accounts in accordance with company policies, resolving invoice discrepancies and issues promptly to maintain accurate financial records
Audit Support
Provide supporting documentation for audits, ensuring timely responses to audit requests and minimizing delays in the audit process
Intercompany Invoices
Email intercompany invoices to the designated email address, following established procedures to minimize errors and escalations
Payment Release Follow-up
Follow up on payment releases, addressing queries and concerns from business units or suppliers promptly and efficiently
Supplier Reconciliations
Complete daily supplier reconciliations for month-end suppliers, ensuring adherence to month-end cut-off dates set by the AP Manager