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You will be updated with latest job alerts via email$ 18 - 19
1 Vacancy
SEASONAL
Job Summary:
Accounts Payable Post all invoices in M3 ensuring accuracy and perauthorization/approved of backup. Ensure all invoices have a purchase order and POD Keep track of all contracted services invoices (monthly annual) Create new vendor in accounts in the system. Ensure each new vendor submits 1099 information and COI updated Prepare applicable sales taxes invoices for out of State vendors post them to use tax account. Present Invoices to Controller and General Manager for payment with all backup documentation properly approved and ensure proper ledger coding Maintain files for invoices to be paid. Posted invoices must have proper GL coding and approved by Dept head and Controller Match invoices with corresponding purchase order and/or market list Balance the AP bridge account (goods received w/o an invoice). Reconcile vendors statements on a monthly basis and follow up on discrepancies. Handle vendors payment inquiries and disputes. Review payment requests travel & expenses reports and petty cash for Controllers approval prior to payment. Contact vendors for statements Audit AP aging every month. Provide GM with list of invoices with all approval to post in M3 on a weekly basis Follow with Corporate Accounts Payable for any discrepancies /unpaid invoices posted in M3 Prepare monthly accruals for outstanding invoices not posted and of recurring monthly Assist with Special projects/duties as assigned by the Controller or the Corporate officeGeneral Cashier Count daily cash drops and process all deposits in accordance with AFP Managements SOPs Issue or redeem Cashier banks as needed by the departments with the approval of the Controller. Maintain all documentation. Report shortages to supervisor. Maintain a complete record of all funds. Audit cashier banks as required by AFP Managements standard Operating Procedures. Maintain all Cashier contracts. Ensure all Petty cash is approved by Controller or GM and reconcile all Petty cash receipts Ensure all Petty cash is approved by Controller or GM a Void all receipts after it is paid Make deposit to the bank on a weekly basis with ControllerAccounts Receivable Review contracts and payment schedules and accept deposits when due Work with Sales team for payments to be completed before Events per SOP Work with Front Office for all House Accounts and DB accounts Work with Front Office to Settle all outstanding balance unless DB or PO account Reconcile and verify payments from Plazas Reconcile and verify chargebacks research and respond within in timely manner Charge Credit cards for advance payments for groups Post checks of a advance deposit payments or payments after functions Ensure all Banquet checks are posted to groups Ensure all charges such as AV/electrical hookups parking and any miscellaneous charges are posted to groups Ensure all charges such as AV/electrical hookups are posted to groups Work with Sales to collect payments after the event in case payment was not completed Collect any direct billing accountsQualifications
Education & Experience:
Physical Requirements;
General Requirements:
In accordance with New Jersey State Legislature (New Jersey Legislature Bill S2310 Sca 1R) which requires private employers with ten 10 or more employees to include a range of pay for all advertised jobs promotion or transfer opportunities. This position pays between $18 $19/hr dependent on experience. (Pay Rates need to be updated based on job and approval from the Director of Finance)
Were anequal opportunity employer. All applicants will be considered for employment without attention to race color religion sex sexual orientation gender identity national origin veteran or disability status.
Required Experience:
Intern
Full-Time