• Invoice Processing & Verification: Process invoices from contractors, material suppliers, consultants, etc.
• Vendor Reconciliation: Conduct periodic ledger reconciliations to resolve discrepancies in a timely manner.
• Retention & Hold Management: Track and manage retention money, mobilization advances, and security deposits withheld from contractor bills as per contract terms.
• Payment Scheduling: Prepare weekly payment cycles aligned with the
companys cash flow availability and project priorities.
• Mobilization Advance Tracking: Managing the recovery cycle of upfront
advances given to contractors, Material suppliers, etc.