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AP - Accounting Representative
Job in
Urbana, Champaign County, Illinois, 61803, USA
Listed on 2026-02-19
Listing for:
Illinois Bone & Joint Institute
Full Time
position Listed on 2026-02-19
Job specializations:
-
Accounting
Bookkeeper/ Accounting Clerk, Accounting Assistant -
Administrative/Clerical
Bookkeeper/ Accounting Clerk
Job Description & How to Apply Below
Essential Responsibilities
- Open mail, sort by division and date stamp on a daily basis
- Review all invoices and ensure appropriate approvals. If applicable, verify terms against vendor contracts. Coordinate with the Purchasing department as required
- Code invoices using appropriate general ledger account and applicable division for given activity
- Process all invoices for payment utilizing the accounts payable module within the organization’s accounting software system. Payments should be processed by their due date taking all appropriate discounts and ensuring that all appropriate taxes are paid
- Print and attain appropriate signatures on checks. Prepare checks for distribution as required by including remittance stub, copy of invoice, affixing account or invoice number on check, etc. Scan checks, register, and documentation. Text Recognize scanned file. Distribute checks
- Maintain accurate vendors information and obtain W-9 forms for all vendors
- Develop and maintain files of all fully executed vendor contracts, leases and agreements. Coordinate such activities with senior management, practice administrators, directors, legal and professional consultants, purchasing, etc
- Track recurring AP items on Trello Board and pay them in a timely manner
- Process all automated items and update them in the checkbook, as well as send corresponding files to HIS
Job Type: Full‑time
Job Summary Timely and accurate processing of accounts payable invoices and reimbursements- Open mail, sort by division and date stamp on a daily basis
- Review all invoices and ensure appropriate approvals. If applicable, verify terms against vendor contracts. Coordinate with the Purchasing department as required
- Code invoices using appropriate general ledger account and applicable division for given activity
- Process all invoices for payment utilizing the accounts payable module within the organization’s accounting software system. Payments should be processed by their due date taking all appropriate discounts and ensuring that all appropriate taxes are paid
- Print and attain appropriate signatures on checks. Prepare checks for distribution as required by including remittance stub, copy of invoice, affixing account or invoice number on check, etc. Scan checks, register, and documentation. Text Recognize scanned file. Distribute checks
- Maintain accurate vendors information and obtain W-9 forms for all vendors
- Develop and maintain files of all fully executed vendor contracts, leases and agreements. Coordinate such activities with senior management, practice administrators, directors, legal and professional consultants, purchasing, etc
- Track recurring AP items on Trello Board and pay them in a timely manner
- Process all automated items and update them in the checkbook, as well as send corresponding files to HIS
- Investigate any resolve any discrepancies or suspicious activities on vendor invoices
- Do not pay from vendor statements. Work to attain all original invoices that support balances on statement. When processing a photo or fax copy of an invoice, ensure original invoice has not been paid by reviewing the payment history of the vendor within the accounts payable system
- In the event payment has been made in error (e.g. payment to incorrect vendor, duplicate payment, etc.) work to attain a refund or credit from vendor
- Identify 1099 activities / vendors as invoices and vouchers are being processed during the course of the year and apply as required within the accounts payable or applicable system used to report such activities
- Issue and maintain W-9 forms (i.e. Request for Taxpayer Identification Number and Certification) in order to ensure the accurate processing
- Issue 1099s as required and by their applicable due and transmit such information to the IRS as required by the applicable due date
- Investigate and resolve any discrepancies as notified by the IRS
- Sort, code and enter cash and credit card receipts from activities processed by billing company, as well as contact virtual companies to cancel future payments
- Prepare and make deposits for miscellaneous receipts
- Assist…
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