Accounts Payable Specialist 应付账款专员 at Mr Bin Inc
Scarborough, ON M1V 4Y3, Canada -
Full Time


Start Date

Immediate

Expiry Date

28 Nov, 25

Salary

46000.0

Posted On

29 Aug, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Communication Skills, Bookkeeping, Microsoft Office, Electronic Payments, Payroll, Accounting Software

Industry

Accounting

Description

POSITION SUMMARY

We are currently seeking a detail-oriented and proactive Accounts Payable Specialist to join our finance team. Based in our Scarborough office, this role plays a vital part in ensuring accurate financial transactions, maintaining efficient vendor relations, and supporting our day-to-day operations.

QUALIFICATIONS

  • 2+ years of experience in accounts payable, bookkeeping, or general accounting.
  • Solid understanding of electronic payments, credit card reconciliation, and basic accounting principles.
  • Proficiency in Microsoft Office, especially Excel; experience with accounting software (e.g., QuickBooks, Sage) is preferred.
  • Strong attention to detail and exceptional organizational skills.
  • Ability to manage multiple tasks and meet deadlines in a fast-paced environment.
  • Excellent verbal and written communication skills.
  • Experience with payroll and WSIB submissions is a strong asset.

主要职责

  • 监控公司银行账户和信用卡的每日余额;跟踪已开出的支票并核实资金可用性。
  • 制定付款计划,并通过 EFT、EMT、电汇、支票以及公司信用卡(VISA、MasterCard、AMEX) 执行付款。
  • 审阅供应商邮件,打印发票,整理并归档电子文件,回复与发票相关的询问。
  • 将发票与送货单进行匹配,并跟进任何缺失的文件。
  • 在会计系统中录入并核对发票与采购订单(PO)。
  • 审核并录入各部门的费用报销单。
  • 处理供应商付款和员工报销;协助应收账款团队处理客户退款。
  • 建立和更新供应商档案,完成信用申请,并维护授权表单。
  • 跟踪涉及银行融资的供应商账单,并协助贷款文件和还款处理。
  • 对供应商对账单与内部记录及会计系统进行核对。
  • 录入并对账信用卡交易。
  • 支持薪资发放:计算、分发和报告工资,包括扣除和 T4 表提交。
Responsibilities
  • Monitor daily balances across company bank accounts and credit cards; track issued cheques and verify fund availability.
  • Prepare payment schedules and process payments via EFT, EMT, wire transfer, cheque, and company credit cards (VISA, MasterCard, AMEX).
  • Review vendor emails, print invoices, organize and archive digital files, and respond to invoice-related inquiries.
  • Match invoices to delivery slips and follow up on any missing documentation.
  • Enter and verify invoices against POs in the accounting system.
  • Review and input expense reports from various departments.
  • Process vendor payments and employee reimbursements; assist Accounts Receivable team with customer refunds.
  • Create and update vendor profiles, complete credit applications, and maintain authorization forms.
  • Track vendor bills involving bank financing and support loan documentation and repayment processing.
  • Reconcile vendor statements with internal records and accounting system.
  • Enter and reconcile credit card transactions.
  • Support payroll processing: calculate, distribute, and report payroll, including deductions and T4 submissions.
  • Submit WSIB premium reports in accordance with Ontario regulations.
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