Perform application of credit card payments.Responsible for the application of checks, wire transfers payments, identify and correct the differences between the bank reports’ and the company’s subledger daily, avoiding reconciliation issues at the end of the month.
Resolve payment discrepancies.Manage the Intercompany Cash Application producing the reports and maintaining communication with other divisions.
Responsible for the application of NON-Account Receivable payments.Application of Netting and International Wires.Comply with the KPIs meeting or exceeding the SLAs.
Responsible to clear the Offsets and corrections.Responsible for the Month end Close activities, reconciliations, tie with all the other divisions, prepare the documentation for the Journals entries.
Work with others Company’s Invoice to Cash teams to help resolve differences and improve processes, performing pre-closing to anticipate issues during the month end activities
Work From Home : Not availableTravel Percentage : None