1. Manage and control customer master data including creation and modification . 管理和控制客户主数据库包括创建和修改。 2. Validate and book AP invoices and expense claim; 审核发票和费用报销单据并入账; 3. Arrange AP payments in accordance with payment term and SSC procedure; 根据付款条件和财务共享中心操作流程安排付款; 4. Perform payments clearing in accordance with payment term and SSC procedure; 根据付款条件和财务共享中心操作流程清帐; 5. Efficiently monitor the status of pending invoices and timely communicate with local entities to solve AP and payment issues; 有效监控未解决的发票状态,及时和客户沟通解决应付账款问题; 6. Bind and archive accounting vouchers and related reports ; 装订和存档会计凭证和相关报告; 7. Responsible for required AP reports: 提供应付账款报告: 78 Work with GL team to respect monthly closing deadline; 与总账团队合作在规定时间内完成月度结账; 78 Provide local entities monthly AP and AP aging report with comments on long aging balance; 提供月度的应付账款的账龄报告及逾期帐龄分析; 78 Perform intercompany CIS reconciliation; 执行内部关联公司对账; 78 Review and justify employees accounts balance; 审核和确认员工账户余额; 8. Actively participate in internal and external audits to provide required information; 积极参与内部及外部审计,提供所需信息; 9. Support other team members from the SSC on achieving team and individual goals, ensuring that high level of customer service is maintained; 为达成团队和个人的目标,向其他团队成员提供支持,以保证高质量的客户服务;