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Invoice Processing & Entry
Vendor invoices received, reviewed, and entered into QuickBooks against the correct vendor, account, and cost centre. PDF, email, and EDI formats handled.
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Three-Way PO Matching
Invoice matched against purchase order and goods receipt before entry. Discrepancies flagged to the approver. Duplicate invoices caught before payment.
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Vendor Master Management
Vendor records maintained in QuickBooks — contact details, payment terms, bank details, and 1099/TDS status kept current. Onboarding new vendors handled.
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Payment Scheduling & Processing
Payment runs scheduled weekly or twice monthly. ACH, wire, cheque, and virtual card payments prepared and submitted for your approval before execution.
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AP Ageing Report
Weekly AP ageing delivered — what is due, what is overdue, and what has early-payment discount windows. No bills paid late by accident.
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Month-End AP Reconciliation
AP subledger reconciled to the general ledger at month end. Accruals posted for invoices received but not yet processed.