RADISE India is looking for a detail-oriented Senior Associate Accounts Payable to join the finance team in Hyderabad. This position is a critical support role for our US-based entities responsible for managing the end-to-end accounts payable process. This is a mandatory Work-From-Office position with shift timing 2PM to 11PM IST and may require adjusting to accommodate US HQ office time zone (EST) whenever necessary (usually during month-close activities).
The ideal candidate will have 3 to 5 years of experience with US AP operations including vendor setup and payment processing in an ERP environment.
This role requires the ability to communicate clearly confidently and professionally with US-based colleagues and vendors with a strong sense of ownership accountability and attention to detail.
Qualified CMA CA CMA (IMA-US) CPA are preferred but not a necessary condition to apply for the position. Nevertheless the candidate must have a Graduate Degree in Accounting at a minimum.
Key Responsibilities and Accountabilities:
AP Processing:
- Handle the day-to-day AP process including receiving reviewing and processing vendor invoices for our US entities maintaining timeliness and accuracy.
Invoice Validation:
- Perform 3-way 2-way matching and Non-PO Invoices validation to confirm invoice accuracy.
GL Coding and Accounting:
- Apply correct general ledger codes for all invoices and expense reports.
- Inter-Entity Invoicing and Expenses Distribution and Allocation to Business Units and Departments.
Vendor Onboarding & Compliance (US Specific):
- Help manage the vendor setup and maintenance process.
- Request validate and maintain W-9 forms from US-based vendors.
- Assist with the annual preparation process for 1099 forms by helping to validate data.
Payment Processing:
- Prepare and process weekly payment runs (ACH wire and checks) for US vendors after verifying all approvals.
Vendor & Stakeholder Communication:
- Act as a key point of contact for AP-related questions from US vendors and internal US-based employees.
- Address and resolve invoice discrepancies or payment issues promptly.
Reconciliation & Reporting:
- Perform monthly reconciliation of the AP sub-ledger to the General Ledger.
- Reconcile Inter-Entity balances.
- Reconcile vendor statements and follow up on any differences.
- Assist with month-end close activities such as AP accruals.
Process Improvement:
- Contribute to process improvements and support new AP automation initiatives.
Expense Report Auditing:
- Review employee expense reports for compliance with company T&E policy.
RADISE India is looking for a detail-oriented Senior Associate Accounts Payable to join the finance team in Hyderabad. This position is a critical support role for our US-based entities responsible for managing the end-to-end accounts payable process. This is a mandatory Work-From-Office position wi...
RADISE India is looking for a detail-oriented Senior Associate Accounts Payable to join the finance team in Hyderabad. This position is a critical support role for our US-based entities responsible for managing the end-to-end accounts payable process. This is a mandatory Work-From-Office position with shift timing 2PM to 11PM IST and may require adjusting to accommodate US HQ office time zone (EST) whenever necessary (usually during month-close activities).
The ideal candidate will have 3 to 5 years of experience with US AP operations including vendor setup and payment processing in an ERP environment.
This role requires the ability to communicate clearly confidently and professionally with US-based colleagues and vendors with a strong sense of ownership accountability and attention to detail.
Qualified CMA CA CMA (IMA-US) CPA are preferred but not a necessary condition to apply for the position. Nevertheless the candidate must have a Graduate Degree in Accounting at a minimum.
Key Responsibilities and Accountabilities:
AP Processing:
- Handle the day-to-day AP process including receiving reviewing and processing vendor invoices for our US entities maintaining timeliness and accuracy.
Invoice Validation:
- Perform 3-way 2-way matching and Non-PO Invoices validation to confirm invoice accuracy.
GL Coding and Accounting:
- Apply correct general ledger codes for all invoices and expense reports.
- Inter-Entity Invoicing and Expenses Distribution and Allocation to Business Units and Departments.
Vendor Onboarding & Compliance (US Specific):
- Help manage the vendor setup and maintenance process.
- Request validate and maintain W-9 forms from US-based vendors.
- Assist with the annual preparation process for 1099 forms by helping to validate data.
Payment Processing:
- Prepare and process weekly payment runs (ACH wire and checks) for US vendors after verifying all approvals.
Vendor & Stakeholder Communication:
- Act as a key point of contact for AP-related questions from US vendors and internal US-based employees.
- Address and resolve invoice discrepancies or payment issues promptly.
Reconciliation & Reporting:
- Perform monthly reconciliation of the AP sub-ledger to the General Ledger.
- Reconcile Inter-Entity balances.
- Reconcile vendor statements and follow up on any differences.
- Assist with month-end close activities such as AP accruals.
Process Improvement:
- Contribute to process improvements and support new AP automation initiatives.
Expense Report Auditing:
- Review employee expense reports for compliance with company T&E policy.
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