**Position Purpose**Guarantee the timely payment of invoices from national and import suppliers based on established policies and processes. Supervise that the processes related to travel expenses, funding, budgets, checks, reconciliations are executed correctly and in accordance with the guidelines.**Primary Accountabilities**Coordination and supervision of Non-Merchandise processes (forecast, payment cycles, bank payment signatures and check review), to ensure that payments are made correctly and in accordance with established policies through validations, information analysis and reviews of reports and payment files.Supervision of Reimbursement of Travel Expenses and Expenses with Corporate Cards, through report validation and ensuring that the necessary controls are in place to maintain a healthy balance aging, support and give support to the CPA Travel module, review of reconciliations and coordinating the position AP AnalystCoordinate and ensure the monthly and annual accounting closing processes of MX and US, ensure that the interfaces run correctly, solve problems with high priority when there are errors that affect the accounting close, ensure with the team that the policies are loaded on time and are correct, seek the automation of the US closure in Mexico to mitigate errors and manual workSupervision of Vendor Master, coordinate the creation of narratives, user manuals, the debugging and standardization of information, support with configurations and development of templates and macros to support the team with loads of information and information flows of the interfacesImplementation and development of improvements for operations with banks (layouts, encryption, etc.) Support with definitions, analysis and system configurations when required to update processes, implement improvements and carry out the migration of the payment process from a banking portal to other Interacting with the PMO, IT Finance, IT US, Treasury and SuppliersImplementation and support in projects to improve and automate processes, analysis, definition, implementation of the projects that are planned for the area such as RPA, Compliance Phase 1 and 2, Encripatdado, Migration to new Banking Portals, among others. Interacting with the PMO, IT Finance, IT US and vendorsReconciliation of Import PO's Payments (Prepaid), analysis and validation of import PO's in order to identify incorrect records and ensure a healthy and correct reconciliation. Monthly validations of receipts in Mainframe vs People Soft in conjunction with the Inventories team**Education & Experience**Level of Formal Education: A Bachelor's degree (BA, BS) or equivalent.Area of Study: Accounting / AdministrationYears of Experience: Three to five years.Type of Experience: Accounts Payables, Accounting, Reconciliations, TreasurySpecial Certifications or Technical Skills: Excel, ERP preferred Oracle People Soft,Other/Preferred: Customer service experience and people reporting directly