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OFFICE OF HUMAN RESOURCES AND DEVELOPMENT → CLASSIFICATION → ACCOUNTS PAYABLE ASSISTANT
Sorted by job title: A - C | D - H | I - Q | R - Z
EXAMPLES OF DUTIES AND RESPONSIBILITIES:
Grades 14, 15, 16:Performs the day to day processing of accounts payable transactions. Receives and verifies invoices and requisitions for goods and services. Analyzes transactions to ensure that general accounting practices are being followed. Works with school staff to resolve issues related to delivery and payment of supplies and goods.Works with employees to solve problems, resolve issues and answer questions related to reimbursements. Responds to phone call and walk-in inquiries from vendors, schools, and community.Performs data entry/matching of invoices, check requests, recurring payments, and utilities.Collaborates with employees, schools and other departments to resolve issues that prevent expense reports from being processed.Maintains quality control to ensure that accounting transactions comply with financial policies and procedures.Indexes data from payment request, reviews and audits various types of documents within Fortis Document Management System for final payment process. Works with suppliers to resolve delivery, pricing and other supplier discrepancies, and follows-up on supplier agreements to correct discrepancies. Collaborates with the Division of Procurement and the Office of Human Resources and Development, assures the timely and accurate processing of vendor and employee records. Provides internal and external administrative support in order to ensure effective and efficient office operations. Prepares or assists with vendor checks for mailing.Scanning functions W9's, all invoices, pay requests and indexing.Performs audit and data entry of all expense reports.Enters complex bills, ACH's, priorities pertaining to purchase orders with release numbers.Understands and applies the seven core competencies of the Supporting Services Professional Growth System (SSPGS) commitment to students, knowledge of job, professionalism, interpersonal, communication, organization, and problem solving. Performs related duties consistent with the scope and intent of the position. These duties can be within the Accounts Receivable, General Accounting or other DOC areas as assigned.Grades 15, 16:Verifies general ledger account segment for accurate expenditure posting. Verifies and reconciles transactions for inventory, operating and capital grant accounts through the general ledger. Reviews payable accounts to ensure that information is properly recorded and the records contain appropriate authorization for payment.Prepares and audits batches of invoices for data entry.Analyzes and reviews vendors' statements for accuracy and checks credit balances; requests cash refunds on credit balances and resolves discrepancies.Fixes distribution variances, holds related items; cleans up outstanding purchase orders and invoices. Audits Off-purchase orders. Reviews and releases off-purchase orders for transportation, employee payments and school payments, as well as those that are complex or priority items, such as ACH's or construction.Serves as accounts receivable floater for higher level assignments.Reviews and analyzes fixed assets paid items.Assists with escheatment process for payroll and general accounts payable bank account non-cashed checks.Conducts JP Morgan audits, investigates and communications with schools to obtain documentation.Grade 16: Provides training and explanations to school staff on processes and procedures related to accounts payable and procure to pay processes. Reconciles and performs encumbrance and receiving adjustments Prepares manual checks as and when required. Verifies business structure and classification to create and maintain vendor files in accordance to government regulations. Performs system interface process for various payments, such as Enernoc, iSupplier and iExpense interface. Evaluates and audits expenditure posting for 1099 reporting. Performs special assignments or projects from controller/accounts payable supervisors.Researches, identifies and resolves discrepancies between payables, receivables, cash receipt and general ledger databases.Sets up vendors in Hub and SFO for certain suppliers such as SFO, Snap and daycare suppliers. Serves as assistant accounts payable supervisor and performs back-up duties as assigned.Passes out bills from imaging system for employees to enter into Hub.
This description may be changed at any time.