- Location
- Charlotte, NC, United States of America
- Department
- Finance
- Education
- Bachelor
- Source
- Workday
Description
Job Description:
Key Responsibilities
- Supervise daily O2C activities: cash application, customer account reconciliation, credit memo review, and dispute/deduction resolution
- Supervise daily P2P activities: invoice processing, vendor statement reconciliation, and payment run support
- Own vendor and customer reconciliation processes, ensuring aging accuracy and timely resolution of discrepancies across ERP systems
- Lead RNI (Receipt Not Invoiced) clearing per established SOPs, partnering with procurement and receiving teams to close aged items
- Serve as escalation point for the offshore BPO team on exceptions, policy questions, and process issues
- Perform month-end close activities related to AR/AP: accruals, reserve analysis, and account reconciliations
- Monitor and enforce Grants of Authority thresholds and approval workflows within P2P
- Identify and drive process improvement opportunities across O2C/P2P, supporting standardization across ERP platforms
- Support internal controls, SOX-readiness, and audit requests related to vendor/customer master data and reconciliations
- Assist with master data governance: deduplication, standardization, and maintenance of vendor/customer records
Qualifications
- Bachelor's degree in Accounting, Finance, or related field
- 4–7 years of progressive accounting experience, including O2C/P2P or shared services environment
- Experience supervising or mentoring staff/offshore teams preferred
- Multi-ERP exposure a plus (D365, P21, Sage, or similar)
- Strong reconciliation and analytical skills; comfort working with high-volume, multi-entity data
- Advanced Excel skills; experience with automation/reporting tools a plus
- Manufacturing or PE-backed company experience a plus