Found Description
Posting Daily Deposits against invoices: checks, ACHs and wires
Intercompany transactions: processing transactions to and from other ledgers
Identify and communicate discrepancies in payments received with department credit analysts.
Work with Intercompany accountants and general accounting to ensure proper closeout of invoices.
Communicate to sales and project management on the status of accounts and payments.
Research unidentified payments for proper posting
Responsible for a month-end closing activity
Provides quality and professional customer service to all internal and external A/R personnel.
Additional tasks/duties as assigned by Finance Management and Supervisor/Manage
Intercompany transactions: processing transactions to and from other ledgers
Identify and communicate discrepancies in payments received with department credit analysts.
Work with Intercompany accountants and general accounting to ensure proper closeout of invoices.
Communicate to sales and project management on the status of accounts and payments.
Research unidentified payments for proper posting
Responsible for a month-end closing activity
Provides quality and professional customer service to all internal and external A/R personnel.
Additional tasks/duties as assigned by Finance Management and Supervisor/Manage