Logo
LG Chem America, Inc.

Accounts Payable Analyst II

LG Chem America, Inc., Atlanta, Georgia, United States, 30383

Save Job

Join to apply for the

Accounts Payable Analyst II

role at

LG Chem America, Inc.

We are actively searching for a Full Cycle AP candidate who is interested in joining a growing organization with career growth. This is an opportunity to start in AP and then advance to other areas of accounting where you will gain experience to grow your career. The incoming will perform full cycle Accounts Payable responsibilities including reviewing and inputting invoices, bank reconciliations, account verification, month end close and additional responsibilities as listed below.

This position is based in our corporate office in the Buckhead area of Atlanta, GA and is not remote.

What You’ll Be Doing Essential functions include but are not limited to:

Job Responsibilities Full Cycle AP

Perform AP Document Review (all invoices are accurate and have been properly documented and approved by the authorizing employee prior to a payment)

Checking Duplicate Payment

Execute and Revise Payment Proposal

Report Payment Result to authorizing employee

Perform Daily and Monthly Bank Reconciliation

Manage Vendor’s master and verify bank account registration

Perform additional duties as assigned

Additional Responsibilities

Produce full-cycle A/P

Perform data entry of vendor invoices, expense reports, various payment types, and credit memos in various currencies.

Review and record invoices from vendors to ensure accuracy in billing and ensure proper approvals of all invoices to avoid paying unauthorized invoices and expenses

Facilitates payment of vendors, matching documents with receiving transactions, reviewing purchase orders, and resolving discrepancies.

Interacting with internal and external customers in responding to inquiries or report requests

Balance Trial Balance and Aging Reports.

Handle all vendor correspondence via phone or email and maintain vendor files and collect necessary information for various reporting requirements.

Investigate and resolve problems associated with processing of invoices.

Prepare check requests, wire transfers, and ACH transactions.

Reconcile various accounts monthly, bringing any discrepancies to the attention of the immediate manager.

Perform other duties as required to support the Department.

Perform special projects as assigned

Bank & Credit Card reconciliations – using electronic bank feeds

Generate monthly financial reports

Perform timely and accurate production of weekly check-runs.

Participate in the month/quarter/year end close process to ensure a proper cut‑off of expenses, and timely posting of relevant transactions.

Review and reconcile statements of accounts from suppliers

Works closely with Treasurer and Finance Department Manager

Process various client chargeable disbursements as needed

Process service invoices, expense reports, and petty cash requirements

Verify discounts, terms, and approvals for invoices and payment requests

Qualifications, Skills and Experience Education / Qualifications

Bachelor's degree in finance or accounting or other related fields (business administration, economics, etc.) from an accredited university or program required.

Requirements

3-4 years of full cycle accounts payable experience

In-depth knowledge of Business Online Banking (Firm Banking) and SAP System

Excellent communication skills: verbal, written and presentation.

Proficiency in the use of PC and Microsoft Office suite (Microsoft Excel, Power Point, Word etc.)

Excellent analytical ability to effectively analyze large amounts of financial data.

Preferred Qualifications

Bilingual in English and Korean is preferred

Ability to navigate complex multinational/multicultural organizations

Seniority Level Entry level

Employment Type Full-time

Job Function Accounting/Auditing and Finance

Industries Chemical Manufacturing, Wholesale Import and Export, and Plastics Manufacturing

#J-18808-Ljbffr