Accounts Payable : Daily entry of delivery dockets for serial number items
Daily entry & filing of supplier invoices and credits, ensuring there
is a purchase order for every invoice and that prices match. Spot
checking that the goods being purchase are being charged out on
a Packing slip and that adequate gross profit margins are being
achieved
Entry of expense claims, ensuring there is a purchase order for
every claim and that the expenses are within the Company
guidelines and are reasonable
Following up on ‘Returned Goods Forms’ to ensure credit are
received. Training staff on when these forms are required
Monthly reconciliation of creditor’s invoices entered to supplier
statements. Prompt follow up of all outstanding queries to ensure
overdue amounts are resolved
Dealing with all supplier enquiries
Maintaining a vigilant watch on the accounts payable function to
ensure the correctness of all data entry
Training sales staff on correct procedures when purchasing goods.
Changeover of monthly folders and sorting invoices into storage
boxes
Freight and insurance claims
Ordering stationery and toner supplies
Petty cash entries