This position in Accounts Payable (AP) is responsible for accurate and timely review and input of invoices into the financial system Oracle as well as the documents repository system OnBase. The number of invoices processed should be equal or greater than the department standard. This position is also responsible for maintaining accurate records for transactions processed, resolving discrepancies with vendors and departments, assisting users with AP questions and clarifications regarding AP policies, guidelines and procedures. Solid problem-solving skills, ability to balance tasks and priorities are necessary in order to meet deadlines and to provide superior and professional customer service in a high volume fast paced environment. The position also requires effective organizational skills, time management, multi-tasking skills and effective verbal and written communication skills. The AP Accounting Specialist is responsible appropriate handling of OHSU restricted information (Classified, Confidential and Proprietary).
Function/Duties of PositionInvoice Review and Processing
Reconcile processed work by verifying entries and validating payee information, amount, payment terms, payment method, accounting / funding information.
Follow processing priorities guidelines in order to ensure appropriate and timely recording of expenditures in the OHSU financials, as well as minimizing the risk of missing early payment discounts.
Review items included on invoices to ensure appropriate processing of item lines, freight, shipping and handling.
Review tax items to ensure appropriate billing and follow-up with vendors in case of tax lines that are not applicable to OHSU (such as sales tax for Oregon shipping addresses).
Send applicable notifications for invoice holds to departments in a timely manner.
Financial Records Maintenance/Reports, and Financial Opportunities Analysis
Work on statement reports, invoice hold report, returned check reports. Verify monthly vendor accounts and balance statements.
Resolve returned checks in a timely manner.
Review monthly invoice hold reports and resolve discrepancies.
Collaborate with Vendor Desk to update vendor records.
Identify opportunities for increased efficiency, compliance and cost savings.
Identify opportunities for revenue such as early payment discounts and electronic payment rebates. Analyses payment methods to ensure efficiency and cost-effectiveness
Review excessive freight charges and notify departments. Work with the departments and vendors to resolve the freight charges.
Review invoice payment terms and notify the manager in case of discrepancies.
Discrepancy Resolution and Customer Service
Assist departments in resolving invoice holds in a timely manner.
Demonstrate attention to detail accuracy and efficiency when reviewing discrepancies.
Partner with the Purchasing Department in resolving complex invoices holds.
Participate in AP process improvement projects.
Respond to emails and phone calls in a timely manner and provide high quality customer service to internal and external customers.
Other duties as assigned
Completion of Associate’s degree in accounting/bookkeeping and two years of accounting technician/bookkeeping experience; OR
Four years of accounting technician/bookkeeping experience; OR
Equivalent combination of experience and training.
Monday - Friday, 8:00am - 4:30pm PST. Work from home (remote), high-speed internet connection needed.
Benefits
PI281644998