Accounts Payable Vendor Specialist in Sandy Springs, Georgia at Asbury Automotive Group
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Job Description
Sandy Springs, GA, USA
Requisition ID Req #12072
About Asbury
Asbury Automotive Group (NYSE: ABG) is a Fortune 500 company and one of the largest franchised automotive retailers in the United States. We are redefining the traditional dealership model through innovative technologies such as Clicklane and through our commitment to our team members, guests, and partners. Our culture which is grounded in our North Star and Compass and powered by our DRIVE values, focuses on the vision of becoming the Most Guest Centric Automotive Retailer. At Asbury, we work together to provide exceptional experiences for our guests while promoting a fun, supportive and inclusive environment where team members can thrive both personally and professionally. Based on our efforts, we have been recognized as one of the best places to work by both Newsweek and US News & World report.
The Vendor Specialist is responsible for the timely and accurate posting and payment of Accounts Payable invoices billed to assigned stores
Duties/Responsibilities
- Review COUPA views for pending invoices to be processed. Process all invoices.
- AP Entry (processor name)
- AP Rejection (processor name)
- AP Docs Pending (locate stores through search, individual filter can be created)
- AP Vendor Admin (locate stores through search, individual filter can be created)
- AP Entry blank location (locate created by – your name)
- Create invoices received via email that are rejections from CTI to COUPA
- Create invoices received via email that are FACILITY INVOICES
- Respond to personal email, resolve issues with vendors and store managers.
- Statement reconciliation and spreadsheet updates:
- Overview – Statement review begins no later than 3rd working day of the new month.
- Statement review/requesting of open invoices over 30 days/updating spreadsheet information on the shared drive is continuous throughout the month.
- Overview – Unclaimed Property review begins upon receipt of file from corporate with BOC data. Generally received around the 10rd day of the new month.
- Unclaimed Property research / vendor reach out / submission of requests to ODC / updating spreadsheet information on the shared drive is continuous throughout the month.
- SLA Coupa/CTI/FAC invoices = 48 hours from time in entry view or email receipt.
- SLA Statement Reconciliation = Published each month via AP calendar, generally the last week of the month.
- SLA Unclaimed Property = Published each month via AP calendar, generally the last week of the month.
- Month end processing: Assure views listed in “daily” duties are clear before leaving for day
- Attend Statement Reconciliation review meeting with Team Leads and Supervisors.
- Coordinate with parts manager and store team for parts inventories –
- Assure views listed in “daily” duties are clear before leaving for day
- Projects to be assigned from leadership team.
- Cross training with other departments.
- Assist other team members as needed.
Education & Experience
Pay and Recognition:
Insurance / Retirement:
Learning, Tuition Assistance and Career Development:
Professional growth and development opportunities Additional advantages:
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