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Summary
The role of the Accounts Payable Specialist is to ensure all bills are paid with accuracy and timeliness. The specialist provides administrative and clerical support by processing, verifying, and reconciling invoices, monitoring expenses, and maintaining records for tax and audit purposes.
Main Duties and Responsibilities
* Reconcile Credit Card Statements
* Payable Check Run
* Positive Pay by checks and ACH – JP Morgan
* Payable – 3 Way Match
* Payable – 3 Way Match Indirect – Backup only
* AR Backup – Invoicing and Cash Application
* Check all vendor emails – pull invoices from email, account statements, past dues.
* Code and Voucher Invoices – code all invoices with accounting code and enter invoice information onto voucher.
* Process invoices in Adapta.
* Run AP Aging Report – run report and evaluate accounts for check run.
* Disbursement of Checks – sort and match checks with invoices for signature.
* Disbursement of Checks – after signature, disburse checks via mail or contact vendor for pick up.
* Scanning of Checks – prepare check package with invoice and backup; scan to N: drive.
* Reconcile OP Invoices – check OP work order against invoice; check for discrepancies, email Purchasing or Vendor regarding price issues.
* Code and Voucher OP Invoices – code all invoices with accounting code and enter invoice information onto voucher.
* Process OP Invoices – enter invoice in Adapta and in Lamsco Manager (broken out per item) for estimating.
* Reconciliation of Inventory vs Invoices – run inventory report and reconcile against trial balance and provice reports weekly to Kelly and monthly to Nilse.
* Reconcile Vendor Statements – pull statements from vendor and compare with our statement.
* Check Vendor past‑due emails – investigate vendor account as needed.
* Positive Pay – Comerica – verify checks coming through bank against Adapta.
* Request Invoices – email Vendor and/or Purchasing for missing invoices.
* Request Work Orders – email Quality and Purchasing for missing work orders or missing information.
* Edit Vendor Profile – update address information for vendors.
* Request W9s – contact vendors for current W9 forms.
* Process Credit Memos – code and process credit memo into Adapta.
* Process Expense Reports – voucher and enter into Adapta.
* Process Incoming Customer Payments – receive physical check from mail and send to drop box; notify Nilse & Kimberly by email of check details.
* Process CODs – code and process spot invoices for CODs.
* Additional duties, as assigned.
Requirements
Any combination of education and experience providing the required skill and knowledge for successful job performance will be considered. Typical qualifications would
Seniority level
Entry level
Employment type
Full-time
Job function
Accounting/Auditing and Finance
Industries
Airlines and Aviation
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