Purchasing Specialist

Aiken CountyAiken County Government Center, SC
Onsite

About The Position

This position reviews and processes invoices for Aiken County. These duties are divided between the other Purchasing Specialist. The Senior Purchasing Specialist divides vendors and is the POC for the Account Payable Section of Procurement.

Requirements

  • Reviews and processes invoices.
  • Divides vendors and acts as POC for Account Payable Section of Procurement.
  • Sorts and alphabetizes invoices.
  • Scans and indexes invoices.
  • Emails invoices to departments.
  • Files invoices and determines processing order.
  • Checks invoice calculations for accuracy.
  • Determines tax applicability and makes copies for Use Tax report.
  • Verifies invoices against purchase orders (vendor, quantities, costs, tax, freight, due dates).
  • Communicates discrepancies and necessary adjustments to departments.
  • Enters, verifies, and calculates invoice totals.
  • Accepts invoices in the computer system.
  • Prints and checks AP edits.
  • Updates general ledger.
  • Maintains open payables file.
  • Resolves vendor and department invoice/payment issues.
  • Monitors AP check status.
  • Re-issues checks and notifies vendors.
  • Assists with payment questions, coding corrections, and journal entries.
  • Maintains authorized buyers lists for vendors.
  • Manages store purchasing cards (sign-in/out, checks returns, orders replacements).
  • Files receipts/invoice backup.
  • Generates and checks disbursement reports.
  • Pulls invoices and copies for Emergency Services grants.
  • Bundles invoices for check printing and mailing.
  • Processes various payments (Insurance, HR, Finance, travel, training, refunds, utility bills).
  • Checks monthly vendor statements against processed invoices.
  • Communicates with vendors regarding accounts and discrepancies.
  • Scans monthly statements and maintains statement files.
  • Receives visitors.
  • Signs for packages.
  • Answers phones and takes messages.
  • Updates daily Accounting Reports and encumbrance groups.
  • Sorts and distributes mail.

Responsibilities

  • Sorts and alphabetizes invoices by PO type and vendor.
  • Scans and indexes invoices in Onbase.
  • Emails invoices to departments as needed.
  • Files invoices in folders and decides the order of sequence as to which invoices need to be processed to ensure that all invoices are paid in a timely manner.
  • Checks for accuracy in the calculations of each invoice.
  • Determines which invoices use tax should be paid makes copies of invoices for monthly Use Tax report.
  • Verifies against purchase order, correct vendor selected, quantities received versus quantity billed, unit costs, tax, freight and due dates.
  • Emails departments about any discrepancies and any adjustments to the purchase orders that need to be made.
  • Keys, verifies, calculates totals for each invoice and accepts invoice in the computer system.
  • Prints and checks AP edits for accuracy.
  • Updates edits/invoices to the general ledger.
  • Files invoices and maintains open payables file.
  • Answers questions and resolves problems with vendors and departments about invoices and payments.
  • Emails Accounting to see if AP checks have cleared the bank.
  • Notifies vendors when the check will be re-issued and what the check number is.
  • Works with Accounting on general payment questions, and account number coding corrections and /or adjusting journal entries.
  • Maintains and adds users to authorized buyers lists for a number of vendors.
  • Notifies departments when confirmation is received that the employee has been added to the list.
  • Signs in and out store purchasing cards to employee’s so they can go to store to make purchases.
  • Periodically checks list to make sure departments have returned cards.
  • Orders replacement cards.
  • Files receipts/invoice backup information in check file.
  • Generates and checks disbursement report to make sure invoices are separated by check group codes (i.e. correct number of invoices per check or certain type payments have to be segregated on different checks).
  • Pulls invoices that correspond to disbursement report.
  • Pulls copies of invoices for Emergency Services grants.
  • Emails Accounting for check copies for Emergency Services grants.
  • Bundles invoices in groups and carries to Accounting for checks to be printed and mailed.
  • Processes Insurance and other payments from Human Resources and Finance.
  • Processes travel and training requests generating checks for departments on as needed basis.
  • Process refunds when requested.
  • Processes utility bills and other miscellaneous payments.
  • Checks monthly vendor statements.
  • Compares the invoices listed on the statement to what has been processed in the system.
  • Contacts and works with vendors to keep our accounts current.
  • Corresponds with them on any discrepancies and requests copies of invoices as needed.
  • Scans monthly statements to Onbase Program and maintains current monthly statement file.
  • Receives visitors into the office.
  • Signs for UPS or FedEx packages.
  • Covers phones and/or take messages.
  • Updates daily Accounting Reports and encumbrance groups.
  • Picks up, opens, date stamps, sorts and distributes mail.
  • Other office related duties when the need occurs.
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