Perform invoice sorting, scanning, posting and filing of invoices for different type of purchases
Attend to the workflow queries and work closely with the requester/receiver/purchaser to resolve all the blocking
controls * Perform monthly and quarterly creditor reconciliation for intercompany and third party and report the variances to theparty concerned * Prepare and monitor MR11 report (report tracking of unreceived invoices report) and follow up on the all theoutstanding invoices * Prepare or update operating manual
Contribute to team effort by accomplishing related results as needed
Involve in the asset creation and updating process; edit settlement rules between WBS and definitive asset
Provide support to the BU for the asset tagging process
Maintain and implement the Asset capitalisation policy and procedure
Launch the monthly closing steps for asset module
Participation in the project management with regards to master data creation, capitalisation date, control costs on
WBS and following project costs * To assume the role of AP processing (Non IDEA entity), Invoice scanning & video coding (IDEA), AP processing(IDEA entity) and Travel Expense statement control activities according to the business role defined in the Financial Target Operating Model (FTOM)Required Profile
Minimum Degree or equivalent in Accountancy.
At least 5 years working experience in account payable functions.
Good command of English and/or Dutch language with excellent written and verbal communication skills.
Mature with good interpersonal skill and able to work independently with minimum guidance, possess initiative, strong sense of responsibility and high degree of integrity.