04 Aug
|
Accenture in India
|
Jaipur
04 Aug
Accenture in India
Jaipur
Skill required: Procure to Pay - Accounts Payable Processing Designation: Procure to Pay Operations Associate Qualifications:Any Graduation Years of Experience:1 to 3 years About Accenture Accenture is a global skilled services company with leading capabilities in digital, cloud and security.Combining unmatched experience and specialized skills across more than 40 industries, we offer Strategy and Consulting, Technology and Operations services, and Accenture Song— all powered by the world’s largest network of Advanced Technology and Intelligent Operations centers. Our 699,000 people deliver on the promise of technology and human ingenuity every day, serving clients in more than 120 countries. We embrace the power of change to create value and shared success for our clients, people, shareholders, partners and communities.Visit us at www.accenture.com What would you do?
You will be aligned with our Finance Operations vertical and will be helping us in determining financial outcomes by collecting operational data/reports, whilst conducting analysis and reconciling transactions. boosting vendor compliance, cutting savings erosion, improving discount capture using preferred suppliers, and in confirming pricing and terms prior to payment. Responsible for accounting of goods and services, through requisitioning, purchasing and receiving. Also look after order sequence of procurement and financial process end to end.
The Accounts Payable
Processing team focuses on designing, implementing, managing and supporting accounts payable activities by applying the relevant processes, policies and applications. The team is responsible for timely and accurate billing and processing of invoices, managing purchase and non-purchase orders and two-way and three-way matching of invoices.
The Accounts Payable
Processing team focuses on designing, implementing,
managing and supporting accounts payable activities by applying the relevant processes, policies and applications. The team is responsible for timely and accurate billing and processing of invoices, managing purchase and non-purchase orders and two-way and three-way matching of invoices. What are we looking for?
Good understanding of Vendor Invoice Processing & related controls Good understanding of Vendor Payment processing & related controls
Good understanding of T&E; processing & related controls Experience of Vendor Reconciliations
Experience of Vendor Master Update Experienced in Helpdesk - Query resolution
Good understanding of PTP Month End Close Tasks
Experienced in preparation of GRIR Reconciliations
Good Written Communication
Good Verbal Communication Skills
Good hands on experience in MS Excel Ready to work in night shifts
Decent operational knowledge of MS Excel
Knowledge of current technologies in PTP domain
Prior experience in Great Plains, AS400 & Navision Roles and Responsibilities:
Process vendor invoices/ credit notes in agreed timeframe
Process urgent invoices in agreed timeframe
Validate invoices and identify non-compliant invoices and send these back to required stakeholders
Understanding importance of business exceptions, rules and guidelines
Basic account knowledge, entry impact on supplier ledger — Invoice, Credit memo, discount capture
Raise query to internal business or supplier while parking the invoice using appropriate reason
Able to do Multiple follow ups on hold/park /stuck invoices as via emails or calls with relevant parties for driving resolution as per business guidelines
Ability to comprehend information available on invoice for country specific Tax/VAT guidelines
Ensure Invoice data is correctly captured in the ERP/workflow system Process PO invoices following 2 way/ 3 way match
Process Non PO invoices following required approvals
Manage and follow up invoice exceptions
Perform quality check of invoices/ credit notes
Ensure adequacy of process controls being in place
Ensure compliance to policies and procedure
Manage periodic audit Keep documentation update Manage and ensure control on GRIR, vendor debit balances, direct debits, Invoice on holds etc.
Ensure all SLA and KPls are met Creating/validating payment schedule as per business guidelines
Process vendor payment runs as per the defined schedule following parameters given in Desktop procedure
Process urgent payment in agreed timeframe availing all required approvals
Ensure quality review of the payment proposals
Ensure Pre payment and post payment validations are performed and co-ordinate with Vendor master team to manage the invoices/vendor hold
Confirm Payment run is debited from the bank account
Ensure next payment runs is performed post bank reconciliation is done by RTR side
Co-ordinate with banking team to manage payment exceptions and vendor refunds
Generate payment remittance advice and ensure these are sent to the vendors on timely basis
Maintaining relevant payment approval audit trail for audit and compliance purposes
Perform Duplicate audit check
Do the RCAs for duplicate or erroneous payment
Maintaining duplicate audit tracker until duplicate payments are received
📌 Procure to Pay Operations Associate (Jaipur)
🏢 Accenture in India
📍 Jaipur