- Receive and verify invoices and requisitions for goods and services for administrative activities and verify that these transactions comply with financial policies and procedures for payment.
- Upload and scan invoices relating to administrative and operational expenses in SAP for payment run.
- To process and submit payment run (F110) for strategic vendors to head office in Haifa every Monday.
- To process and submit payment run (F110) for key vendors to Treasurer every Wednesday.
- Monitor and investigate vendor account discrepancies through correspondence.
- Handle vendorsâ queries relating to payments and outstanding balances.
- Maintain an efficient filling system of vendorsâ files.
- Preparation and distribution of monthly vendor statements to effect timely reconciliations.
- Reconciliation of vendor accounts with vendor statements monthly.
BSC. Accounting or Level II ACCA .
Two (2) yearsâ experience in an accounting environment.
Proficiency in Microsoft suite (Word, Excel and Power Point)
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