Start your morning by triaging new invoices, matching them to purchase orders, and confirming approvals. As the day unfolds, you’ll coordinate with vendors on payment statuses, queue up check runs and electronic disbursements, and keep our ledgers crisp and current. By afternoon, you’re reconciling account activity, clearing discrepancies, and preparing clean, auditable documentation that keeps month-end close moving smoothly.
If you love turning numbers into clarity and making operations run like clockwork, this role is for you.