ap Analyst - koreanKMC Solutions, Inc.
Workplace: MetroManila, Manila, Muntinlupa
Salary: Agreement
Work form: Full time
Posting Date: 17/01/2026
Deadline: 12/04/2022
JOB SUMMARY
Responsible for timely and accurate invoicing and payment processing. Performs month-end activities and reporting. Responsible for supporting the Accounts Payable Transformation Lead in the delivery of the Finance Transformation Program of work, through the development and implementation of policies and procedures, performance reporting, and process improvement for the center's Purchase-to-Pay (P2P) activities.
DUTIES & RESPONSIBILITIES * Identify opportunities for consolidation and integration of existing business/finance systems to reduce complexity, improve data flow through, and drive process efficiency
Assist the Transformation Lead by documenting 'to be' process flow, articulating procedures and work instructions, and writing policy documents
Coordinate, plan, test, and implement system improvement or implementation projects impacting Accounts payable activities within the Shared Service
Define business requirements as part of implementing a 'to be' process
Project Manage streams of work as part of the Finance Shared Service improvements including developing project plans and reporting on progress
Be the central point of control for all Accounts Payable policies and processes to ensure the documents are reviewed, maintained, and aligned with any revised business processes
Design and specify Shared Service Payables reporting suite to measure adherence to the AP Policy company-wide
Capture and report on transactional performance metrics required to monitor the performance of the P2P services and SLA's provided by the Shared Services Team
Design & deliver training material and communications to end users in line with process improvement initiatives
Work with Stakeholders to implement policies and increase adherence to policy
Maintain internal control processes within P2P
Checks and verifies the accuracy of documents to be paid. Ensures the following:
Agreement between the biller and Bank data reflected in the invoice and the Vendor's Name and Bank information reflected in the system
For Philippine-based vendor:
The invoice is aligned with the requirements by the Bureau of Internal Revenue (BIR). All the pertinent data are reflected in the body of the invoice. Any exception should be within the items allowed by the BIR.
Unless the vendor is with Tax-Exempt Certification or located in the PEZA Zone, withholding tax should be applied
Currency between PO and Invoice should tally.
Payment Method and Bank Types are correctly maintained.
Reasonableness of the amount being billed related to the item being billed.
Performs processing of Non-PO Request for Payment in SAP system. Ensures that any transactions processed in Non-PO related to 3rd Party is covered by a contract.
Performs Payment Processing and ensures payment terms are based on the corporate-defined payment term. Ensures that any exemption is with the necessary approval as provided for in the policy.
Prepares payments through Citibank paylink, telegraphic transfers, checks, demand draft and manager's check.
Maintains file of Letter of Authorization, Processed Transaction Report and Printed checks Report
Records advances (cash, travel) loans, petty and employee's benefits (SSS, life & Insurance)
DM preparation addressed to ATC, ATK, ATI, ATIC and others.
Maintain file of billback (travel and telephone) transactions and prepare Debit Memos.
Submit weekly Cash Projection Report for weekly funds.
Reconciles the Vendor's Statement of Account against data in the system
Prepares and submit Weekly Cash Payment Projection and Capex Payment Report.
Ensures vendor's inquiry is acted upon or replied within 24 hours.
Sends Payment Details to Vendors.
Secures quit claim within 6 months for all vendors assigned to her.
Acts with utmost integrity and fairness in dealing with Vendor and Service Provider.
Performs accrual of unbilled transactions. Monitors completion and ensures reversals are made on time.
Performs Account Reconciliation and completion of task in Blackline.
Maintains database and custody of contracts entered into by the Company.
Supports Audit Requirements and ensures required data is provided on a timely manner.
Supports Cost Control measures that may be implemented by the company when necessary.
Complies with the Company's Code of Ethics and abide all HR mandated guidelines.
Complies with the proper operating procedures of Safety and Health Standards/Regulations.
Know the company's vision with respect to Safety, Environment, and Quality (SEQ) standards, behaviours, and performance
Participate in the company's safety first culture that supports continuous SEQ improvement and participate in company-wide programs
Ensure duties of care obligations are met and your conduct in the workplace occurs in a safe manner at all times
Participate in processes regarding risk management compliance and internal controls to ensure operations and legal SEQ risks are effectively managed and minimized
Participate in training to obtain the appropriate skills and experience to safely and competently perform role
Adhere to the company's policies and procedures at all times. Performs functions that may be assigned to me from time to time.
JOB SPECIFICATIONS * Education/Knowledge: College graduate, with degree of BSBA
Skills: Computer literacy, typing skills Proficiency in the following foreign language both written and spoken- Korean/ Hangul written
Work Experience: 1-2 years of experience in same/related field
External & Internal Contacts:
External: Suppliers, Bank, Government Agencies, External Auditor, Customers. Internal: Support and Operation
Working Conditions: No exposure to industrial chemicals
Bossjob
Responsible for timely and accurate invoicing and payment processing. Performs month-end activities and reporting. Responsible for supporting the Accounts Payable Transformation Lead in the delivery of the Finance Transformation Program of work, through the development and implementation of policies and procedures, performance reporting, and process improvement for the center's Purchase-to-Pay (P2P) activities.
DUTIES & RESPONSIBILITIES * Identify opportunities for consolidation and integration of existing business/finance systems to reduce complexity, improve data flow through, and drive process efficiency
Assist the Transformation Lead by documenting 'to be' process flow, articulating procedures and work instructions, and writing policy documents
Coordinate, plan, test, and implement system improvement or implementation projects impacting Accounts payable activities within the Shared Service
Define business requirements as part of implementing a 'to be' process
Project Manage streams of work as part of the Finance Shared Service improvements including developing project plans and reporting on progress
Be the central point of control for all Accounts Payable policies and processes to ensure the documents are reviewed, maintained, and aligned with any revised business processes
Design and specify Shared Service Payables reporting suite to measure adherence to the AP Policy company-wide
Capture and report on transactional performance metrics required to monitor the performance of the P2P services and SLA's provided by the Shared Services Team
Design & deliver training material and communications to end users in line with process improvement initiatives
Work with Stakeholders to implement policies and increase adherence to policy
Maintain internal control processes within P2P
Checks and verifies the accuracy of documents to be paid. Ensures the following:
Agreement between the biller and Bank data reflected in the invoice and the Vendor's Name and Bank information reflected in the system
For Philippine-based vendor:
The invoice is aligned with the requirements by the Bureau of Internal Revenue (BIR). All the pertinent data are reflected in the body of the invoice. Any exception should be within the items allowed by the BIR.
Unless the vendor is with Tax-Exempt Certification or located in the PEZA Zone, withholding tax should be applied
Currency between PO and Invoice should tally.
Payment Method and Bank Types are correctly maintained.
Reasonableness of the amount being billed related to the item being billed.
Performs processing of Non-PO Request for Payment in SAP system. Ensures that any transactions processed in Non-PO related to 3rd Party is covered by a contract.
Performs Payment Processing and ensures payment terms are based on the corporate-defined payment term. Ensures that any exemption is with the necessary approval as provided for in the policy.
Prepares payments through Citibank paylink, telegraphic transfers, checks, demand draft and manager's check.
Maintains file of Letter of Authorization, Processed Transaction Report and Printed checks Report
Records advances (cash, travel) loans, petty and employee's benefits (SSS, life & Insurance)
DM preparation addressed to ATC, ATK, ATI, ATIC and others.
Maintain file of billback (travel and telephone) transactions and prepare Debit Memos.
Submit weekly Cash Projection Report for weekly funds.
Reconciles the Vendor's Statement of Account against data in the system
Prepares and submit Weekly Cash Payment Projection and Capex Payment Report.
Ensures vendor's inquiry is acted upon or replied within 24 hours.
Sends Payment Details to Vendors.
Secures quit claim within 6 months for all vendors assigned to her.
Acts with utmost integrity and fairness in dealing with Vendor and Service Provider.
Performs accrual of unbilled transactions. Monitors completion and ensures reversals are made on time.
Performs Account Reconciliation and completion of task in Blackline.
Maintains database and custody of contracts entered into by the Company.
Supports Audit Requirements and ensures required data is provided on a timely manner.
Supports Cost Control measures that may be implemented by the company when necessary.
Complies with the Company's Code of Ethics and abide all HR mandated guidelines.
Complies with the proper operating procedures of Safety and Health Standards/Regulations.
Know the company's vision with respect to Safety, Environment, and Quality (SEQ) standards, behaviours, and performance
Participate in the company's safety first culture that supports continuous SEQ improvement and participate in company-wide programs
Ensure duties of care obligations are met and your conduct in the workplace occurs in a safe manner at all times
Participate in processes regarding risk management compliance and internal controls to ensure operations and legal SEQ risks are effectively managed and minimized
Participate in training to obtain the appropriate skills and experience to safely and competently perform role
Adhere to the company's policies and procedures at all times. Performs functions that may be assigned to me from time to time.
JOB SPECIFICATIONS * Education/Knowledge: College graduate, with degree of BSBA
Skills: Computer literacy, typing skills Proficiency in the following foreign language both written and spoken- Korean/ Hangul written
Work Experience: 1-2 years of experience in same/related field
External & Internal Contacts:
External: Suppliers, Bank, Government Agencies, External Auditor, Customers. Internal: Support and Operation
Working Conditions: No exposure to industrial chemicals
Bossjob
Other Info
Muntinlupa City, Metro Manila
Permanent
Full-time
Permanent
Full-time
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KMC Solutions, Inc.
About the company
Position ap Analyst - korean recruited by the company KMC Solutions, Inc. at MetroManila, Manila, Muntinlupa, Joboko automatically collects the salary of , finds more jobs on AP Analyst - Korean or KMC Solutions, Inc. company in the links above