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Taipei

    Accounts Receivable and Billing Specialist - Taipei, 台湾 - Parexel

    Parexel
    Default job background
    Local Office
    描述

    • Processes approved invoices in the Oracle R12 system. Checks for accuracy and ensure that invoice meets clients and contracts specifications
    • Collaborates with Project Financial Managers to ensure accurate, complete, and timely client billings.
    • Interacts with clients and Project Financial Analyst and Project Managers to review, reconcile billing issues and create/maintain client contact records
    • Reports, investigates and resolves any billing irregularities, aged billing discrepancies and payment issues with the Collections Representative, Finance and Project Managers;
    • Manages monthly client invoicing for completion within established financial deadlines.
    • Raises invoices in Oracle, ensures invoices are printed and dispatched in timely fashion
    • Prepares of domestic/international customer invoices when requested
    • Checks for accuracy with respect to customer and local statutory needs, and with respect to applied VAT
    • Resolute of queries from clients, finance personnel and PFA on a timely basis
    • Maintains files billing paperwork, client correspondence and invoice backup
    • Adheres to department key controls. Upon project setup in financial systems, review project profile to ensure accuracy of header information.
    • At contract signature, reconcile billing milestones with total contract budget and work with Project Setup Group as needed to correct inconsistencies.
    • Review billing milestones upon each budget change to ensure data accuracy and consistency.
    • Prepare reports of project expenditure items for review by Project Financial Analyst, Project Leader, and others as needed, in preparation for billing on a regular basis.
    • Create billing events in accordance with contracted milestones or units and per discussion with Project Leader and Project Financial Analyst.
    • Work with Project Financial Analysts to conduct analysis of deferred and unbilled balances on studies.
    • Perform detailed analyses on project expenditures, as requested by Project Leaders or Project Financial Analysts, by investigating source systems.
    • Work with Project Financial Analysts to resolve issues with project setups, invoicing errors, etc.
    • Direct and follow up on AP reclasses and investigate additional information required based on client queries.
    • Serve as the primary point of contact for ad-hoc queries and reporting to the business; resolve and respond to all queries in a timely manner.
    • Reconcile and provide billing information to Business Operations upon study closure to ensure accuracy of project close out.
    • Monitor billing progress against budget and coordinate with Business Operations on changes in scope.
    • Maintain a positive, results orientated work environment, building partnerships and modeling teamwork, communicating to the team in an open, balanced and objective manner
    • Provides general assistance to Billing Supervisor as necessary
    • Provides training and support to other members of the AR Department and other staff as requested