Bill and Pay is part of a team responsible for performing day-to-day tasks within the Billing and Payable function, covering Accounts Payable, Accounts Receivable, Billing, Cost Allocation, and Reconciliations, as well as the Month End Closing process and some other specific accounting activities related to the stream. The Senior Analyst will be required to handle activities for any of the subfunctions within the OTC and PTP functions as assigned by the Finance Operations Manager.
This position will work with management to drive the implementation of global process initiatives to streamline and/or automate the PTP and OTC process, which includes system enhancement and process improvement.
What you'll be doing:
Accounts Receivable and Billing
- Work with the Team Lead to identify the Client's billing processes and document accordingly for reference
- Review against Client billing processes and finalise the invoice with required supporting documentation (e.g., signed Client Schedule, PO, copies of third-party invoices being recharged, etc.)
- Approve and post accounting entries
- Dispatch to the Client the invoice and supporting documentation according to the Client's billing process
- Review against Client billing processes and finalise the draft credit note or raise the credit note, with required supporting documentation
- Approve and post accounting entries
- Dispatch to the Client the credit notes and supporting documentation according to the Client's billing process
Accounts Payable & Invoice Processing
- Receive and save vendor invoices/vendor billing files and supporting documents
- Check all invoices for proper documentation, attach the invoice to the AP System, and submit for payment accordingly. Ensure invoices are processed in line with WPP Policies, SOX requirements, and Standard Operating Procedure (SOP)
- Process invoices, credit memos, and debit memos in a timely and accurate manner according to the SLA / KPI set by management and agreed with WPP Operating Companies (OpCo)
- Ensures that all invoices assigned are properly accounted for at the end of each business day
- Respond to vendor inquiries. Follow up with the vendor and respective OpCo to resolve all discrepancies in a timely manner
- Verifies vendor accounts by reconciling monthly statements and related transactions
- Perform reconciliations of vendor statements, research, and address discrepancies as appropriate
- Review reconciliation and supporting documentation for purchases made by the Company, Settled Credit Card, and revert to OpCo on queries
- Properly book and upload all intercompany transactions
- Work with PTP Leaders on Account Analysis to clear Aged AP and Net Debit Balance (NDB)