Title:  Accounting Analyst

Process Synergy, Inc (KAR0)
Location: 

Mandaluyong City (ABK0), PH

Date:  Sep 1, 2024
Description: 

Name of Project:                Financial Services – Accounting Analyst

Project Details:

  • Timely and accurate processing of  the following:

Accounts Receivable

  • Collections
  • RFCMs (Request for Credit Memos)
  • Cash in Bank and General Ledger

Accounts Payable

  • Payments to suppliers 
  • Payments to employees 
  • Timely and accurate processing/preparation of the following  reports required by the client:
    • Collection Variance Report
    • Collection Deviation Report
    • Aging Report
    • Status of Floaters
    • Bank Reconciliation
    • Exception Report
  • Responding to queries from suppliers and employees of the client concerning accounts payable.
  • Responding to queries from Client's (Sales, Logistics, Finance) employees concerning accounts receivable
  • Performing general administrative and other tasks that maybe assigned from time to time

 

 

Tasks, Duties & Responsibilities:

ACCOUNTS PAYABLE

1. INVOICE /DOCUMENT RECEIVING

  • Ensures completeness and validity of invoices/documents received from the clients by:
  • Checking completeness of invoices/documents received by referring to the transmittal slip forwarded by the client.
  • Conducting basic review/audit of invoices/documents as follows:
  • Checks validity of invoices/documents (original copy/certified true copy, BIR registered for supplier’s invoice.
  • Checks presence of signature of approvers on the invoice/document for non-PO transactions.
  • Checking presence of required entries on the face of the invoice/document as follows:
  • GL account and cost center
  • Internal Order number for CAPEX/promo
  • Profit center, if required
  • Assignment for certain GL accounts, if required
  • GR reference number for PO based transactions
  • Perform verification  of quantity and price and ensures accurate matching of GRIR in   SAP for PO based transactions

 

2. INVOICE /DOCUMENT  VALIDATION

Conduct basic validation/audit on invoices/documents (applicable only to transaction requiring only basic/simple validation) as follows:

  • Check completeness of the required documents by referring to the matrix of required document per transactions type
  • Checks validity and authenticity of the approver’s signature s by referring to the list of authorized approvers per cost center provided by the clients
  • Checks mathematical accuracy of the supporting documents and computations.
  • Checks countersignature on alteration of amount of invoice/documents, if any
  • Checks appropriateness of GL account charging indicated in the invoice/document.
  • Conduct additional required validation (in addition to the basic validation/audit) for transactions that are more complex in nature (e.g., per diem, FTH, Advertising and Promotions, CAPEX, foreign travel, payment of air fare, etc.)
  • Checks compliance to existing company guidelines by referring to the matrix of rates and    company guidelines provided by the client.
  • For payments covered by contract, reviews contracts and checks accuracy of amount to be paid by referring to contract details.
  • Ensures that the additional required documents indicated on the contract are submitted by the supplier/client.

 

3. INVOICE /DOCUMENT  ENCODING

  • Encodes accounting entries in SAP and ensures accuracy of the following:
  • vendor's code and name
  • ATM account number for employees
  • amount to be paid
  • gl account and cost center
  • reference
  • text and header text

    VAT code and VAT details

  • withholding tax code and base
  • assignment
  • internal order or profit center (if applicable)
  • posting date
  • baseline date (date of receipt of invoice by the client)
  • document date (date of document/invoice)

       Prints PRM/SAP accounting document.

  • Updates database monitoring of received invoices/documents indicating SAP  document number.

     

4. PAYMENT PROCESSING

  • Ensures completeness of posted invoices/documents received for payment processing.

    Reviews posted invoices/documents by:

  • Checking if invoice/document are original
  • Checking accuracy of vendor name and vendor code\
  • Checking if invoice/document are approved
  • Matching of ATM per document vs. SAP document (for employees)
  • Checking if SAP PRM/document are approved by the AP Team Lead

    Ensures timely and accurate payment to payees/suppliers regardless of payment mode (e.g., manual check, direct credit to employees' accounts, check writer)

  •  

5. REPORTING

  • Preparation of aging reports:
  • Collection Variance Report - Daily (for each collection)
  • Collection Deviation Report – Weekly
  • Monthly Status of Sales Related Floaters
  • Other reports as required by the Client
  • Preparation of Bank Reconciliation
  • Analysis and clearing of Cash GL line items  by matching bank statement  and SAP balances.
  • Preparation of unrecorded deposits
  • Identification of bank reconciling items as follows:
    • Unrecorded Deposits
    • Unrecorded Withdrawals
    • Erroneous Posting
    • Deposits in Transit and etc.

       

  • Preparation of Exception Reports:
  • Incomplete attachments submitted by Third Party Collectors
  • Erroneous collections ( e.g. collections intended for Poultry)
  • Wrong payee name, post-dated checks, mismatched figures and wordings
  • Devuelto without confirmation
  • Returned RFCMs by BU
  • Booked bad orders without confirmation
  • Promo deductions with short or no Budget

 

6. PERFORM OTHER TASKS THAT MAY BE ASSIGNED FORM TIME TO TIME

 

 

ACCOUNTS RECEIVABLE

1. POSTING OF COLLECTIONS AND ANALYSIS

  • Receiving and retrieving of documents from SMIS customer’s portal, third party collectors and Account Specialists.
  • Checking of completeness of attachments.
  • Preparation of upload collection file template.
  • Posting of collections in SAP.
  • Clearing of bad orders, devueltos and cancelled invoices.

 

2. POSTING OF REQUEST FOR CREDIT MEMOS (RFCMs)

  • Receiving and retrieving of supporting documents (debit memo/service receipt, Promo Activitity Workplan (PAW)/Trade Letter/E-mail confirmation) from SMIS Sales, Finance and Marketing.
  • Matching of floaters with the Internal Orders created.
  • Preparation of RFCMs.
  • Posting of RFCMs in SAP.

3. POSTING OF CASH IN BANK AND GENERAL LEDGER

  • Receiving and validation of checks from the bank
  • Checking of completeness and validity of the checks deposited in the night depository. 
  • Downloading of Bank Statements.
  • Posting of cash deposits in SAP.

     

4. Perform other tasks that may be assigned from time to time.

 

 


Job Segment: Accounts Payable, Accounts Receivable, Accounting, Bank, Banking, Finance