SUMMARY: This position serves a key resource for Accounts Payable functions. Primarily responsible for all duties related to Accounts Payable for the Enterprise. Contacts include various customers including employees, agents, vendors and policyholders of the Enterprise. This position requires working with multiple payable & accounting systems for multiple companies within the Enterprise in order to maintain accurate accounting of expenses with weekly/monthly journal entries and account reconciliations. PRIMARY RESPONSIBILITIES: • Responsible for daily and monthly payable function by reviewing invoices and reports for accuracy. • Reviews payable requests for compliance with Enterprise and Governmental policies. • Reconciles various general ledger accounts, proposing and making correcting ledger entries when necessary. Reconciliations include but are not limited to, corporate projects, accounts payable and fixed asset accounts. • Prepares, maintains and verifies data accuracy in ancillary systems for all companies within the Enterprise. • Generates general ledger entries for the Enterprise. • Answers telephone and email inquiries from customers including vendors and employees regarding payables, and travel reimbursements • Compiles and maintains financial schedules and reports. • Coordinates with Corporate Procurement in purchase order review and payment processing, tag tracking to comply with enterprise guidelines. • Maintains confidentiality of information processed. • Researches checks issued for the Enterprise for accounts payable • Compiles and maintains the L-Hope account for AF Group. Balances account and works with HR to ensure Compiles with City of Lansing guidelines for this Program. • Compiles monthly reports for Project Managers (PM) to assist with their review of ongoing capitalized expenses as well as once the project is completed. • Compiles and maintains all Accounts Payable accruals for the Enterprise and clears all outstanding amounts with journal entries. • Compiles and maintains the pre-paid expenses for the Enterprise and make monthly journal entries to record expenses to appropriately cost centers for budget tracking. • Compiles and maintains the reconciliations for employee gift and awards for the Enterprise to ensure we are complying with the IRS rules on gifts and awards. • Provides training/software support for internal & external customers on Finance systems. • Updates fixed assets system as purchases/sales occur; determines appropriate asset category, useful life and depreciation method. • Determines capitalized versus expensed purchases based on the corporate capitalization policy. • Assists with annual budget process to provide expense information to cost center managers. • Incumbent(s) serves as back up for travel and expense processing. Provides system support for employees using Concur the payables and expense processing software; including training new users. Additional Duties for Refunds: • Researches & reviews policyholder accounts for possible refunds within the Enterprise. • Communicates with internal employees concerning policyholder accounts and current account status. • Incumbent(s) primarily responsible for policyholder refunds and travel and expense.
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Job Type
Full-time
Career Level
Entry Level
Education Level
Associate degree
Number of Employees
501-1,000 employees