Job Description
Overview
Audacy is seeking an Accounts Payable Analyst.
Responsibilities
What You'll Do:
• Full cycle accounts payable processing and deep understanding of the end to end process
• ACH/Wire bank transaction knowledge
• Bank reconciliation experience
• Analyze and troubleshoot transactions quickly for accuracy
• Understanding of 1099 process and Escheat process
• Provide training to internal team and current outsourcing partner
• Foster a productive relationship with current outsourcing partner for the processing of supplier invoices
• Vendor account analysis, journal entry and reconciliation as needed.
• Ad hoc reporting and special projects.
• Month end responsibilities - e.g., accruals and reconciliations.
• Assistance with employee expense reports as needed for compliance with corporate travel policy.
• Coordinate with service provider responsible for auditing employee T&E submissions through Concur expense system
• Administration of the Company's T&E card program
Qualifications
More About You:
Required:
• Minimum of 3 years working experience with accounts payable and analysis
• Bachelor's degree in Accounting / Finance / Business
• Proficiency using ERP-style financial software
• Proficiency using Microsoft software (Excel, Word, Outlook)
• Google (Gmail for Business
• Concur
• Preferred:
• Ability to operate under minimal supervision in a high in a fast paced environment
• Capacity to prioritize daily and monthly task lists
• Must be deadline and detail oriented
• Possess excellent communication skills with a positive attitude
• Well-developed analytical and problem-solving abilities
• Work well in a team environment
• Quick grasp of information as disseminated by departmental heads and management
Responsibilities:
What You'll Do:
- Full cycle accounts payable processing and deep understanding of the end to end process
- ACH/Wire bank transaction knowledge
- Bank reconciliation experience
- Analyze and troubleshoot transactions quickly for accuracy
- Understanding of 1099 process and Escheat process
- Provide training to internal team and current outsourcing partner
- Foster a productive relationship with current outsourcing partner for the processing of supplier invoices
- Vendor account analysis, journal entry and reconciliation as needed.
- Ad hoc reporting and special projects.
- Month end responsibilities - e.g., accruals and reconciliations.
- Assistance with employee expense reports as needed for compliance with corporate travel policy.
- Coordinate with service provider responsible for auditing employee T&E submissions through Concur expense system
- Administration of the Company's T&E card program
Jobcode: Reference SBJ-rn5j81-3-147-140-23-42 in your application.