This role involves supervising daily O2C (Order-to-Cash) and P2P (Procure-to-Pay) activities within a shared services environment. The accountant will be responsible for key processes such as cash application, customer account reconciliation, credit memo review, dispute resolution, invoice processing, vendor statement reconciliation, and payment run support. The position also requires owning vendor and customer reconciliation processes, leading RNI (Receipt Not Invoiced) clearing, and serving as an escalation point for the offshore BPO team. Additionally, the role includes performing month-end close activities, monitoring approval workflows, identifying and driving process improvements, supporting internal controls and SOX-readiness, and assisting with master data governance.
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Job Type
Full-time
Career Level
Mid Level