Verify against PO & GR, classify, record and reconcile supplier downpayment invoices, invoices and monthly Statements of Account.
Verify, classify, record and reconcile staff claims.
Proactively liaise and follow up with operation teams for outstanding documents and information (e.g. for signed delivery orders and/or close out of quality issues).
Verify, post and reconcile payments to suppliers, including reconciliation of contra customer-and-supplier transactions.
Perform weekly and monthly AP reconciliation and closing, and generate reports to management on Purchases, project budgets and AP Aging.
Review supplier invoices to ensure compliance with GST and overseas withholding tax guidelines (where applicable).