1. Can you walk us through the
end-to-end P2P (Procure-to-Pay) process in your previous role?
Certainly. In my previous role as a Process Specialist
in Accounts Payable:
Purchase Requisition
(PR): The process started when a department raised a PR.
Purchase Order (PO): After
approval, the procurement team issued a PO to the vendor.
Goods Receipt (GRN): Upon delivery, the receiving
team confirmed the goods receipt.
Invoice Receipt: The vendor submitted an invoice, which we verified against the PO and
GRN (3-way match).
Invoice Processing: I validated invoice details—tax,
amount, vendor code, and terms—before posting it
in SAP.
Exception
Handling: Any mismatch or non-PO invoices were routed for resolution or manual approval.
Payment Processing: Based on due dates and payment
terms, I scheduled payments via wire transfer, ACH, or check
runs.
Reconciliation
& Reporting: Monthly vendor reconciliations and AP aging reports ensured accuracy and timely
closure.
2. How do you ensure accuracy and
compliance during invoice processing and vendor payments?
To ensure accuracy and compliance:
3-Way Matching: I consistently performed PO, GRN,
and invoice matching.
Tax and Legal Compliance: Verified tax codes (GST,
TDS), compliance with local tax regulations,
and ensured invoice
legality.
Vendor Master Data: Maintained up-to-date vendor
records to avoid duplicate or incorrect payments.
Approvals: Followed delegated authority for non-PO
invoices.
Audit Trail: Ensured documentation and audit logs were maintained in the ERP system.
Internal Controls: Complied with SOX controls,
segregation of duties, and company policies.
3. Have you worked on any part of the
O2C (Order-to-Cash) or R2R (Record-to-Report) cycle? Describe your involvement.
Yes, I have supported both O2C and R2R processes.
O2C: I coordinated with the AR team for resolving
customer credit memos related to duplicate payments and
ensured AP offsets where required.
R2R: Actively
involved in:
o Month-End Close: Accrual postings, prepayment amortizations, and invoice cutoffs.
o Journal Entries: Posted AP-related entries like FX
revaluations and intercompany AP/AR settlements.
o Reconciliations: Prepared
GR/IR and AP subledger to GL reconciliations.
o Audit Support: Provided audit schedules and
responded to internal/external audit queries.
4. How do you handle budget tracking,
forecasting,
and variance analysis in AP functions?
While AP isn’t the owner of budgeting, I worked closely with the FP&A team:
Budget Tracking: Ensured invoices were charged to
the correct cost centers and projects.
Forecasting: Shared
AP open items and expected payments to help forecast cash outflows.
Variance Analysis: Investigated significant differences between actual and
forecasted spending, such as seasonal
vendor costs, early payments, or unanticipated charges.
5. Give an example of how you’ve used
Excel/Google Sheets to automate or streamline a repetitive AP task.
I created a macro-enabled Excel dashboard that:
Pulled AP aging data from SAP exports.
Highlighted overdue invoices by aging buckets and
vendors.
Automated pivot tables and graphs for weekly
management reviews.
This saved about 3–4 hours per week and improved reporting consistency.
6. Tell us about a time you juggled multiple urgent AP requests. How did you
prioritize
and deliver?
During a quarter-end, I received:
A request to expedite a vendor payment for a critical service.
A follow-up on tax deduction corrections.
A request for AP aging data from finance leadership.
I quickly:
Assessed urgency and impact.
Escalated the urgent payment to treasury for
immediate release.
Delegated the data request to a team member with
guidance.
Personally, corrected the TDS entry after verifying documents.
By multitasking and leveraging the team,
I met all deadlines without errors.
7. Describe a situation where you had to collaborate
cross-functionally
to resolve a procurement/payment issue.
We once had a PO mismatch where the vendor invoiced
for a higher amount than the PO. The invoice was blocked.
I initiated a joint call with:
The procurement team (to revise PO or approve the
variance),
The business unit (to confirm service completion),
And the vendor (to clarify billing logic).
After alignment, the PO was
updated, and I processed the invoice. The issue was resolved within 48 hours,
maintaining
vendor trust and operational
flow.
8. How do you handle duplicate invoice
entries?
Answer:
We used SAP's duplicate check functionality (invoice number + vendor code + date). If a
duplicate was detected manually, I
reversed the duplicate entry and flagged the vendor to
avoid re-submission. I also coordinated with the vendor master team
to ensure clean data and proper invoice formats.
9. Describe your experience with 3-way
and 2-way matching.
Answer:
For PO invoices, we followed 3-way matching (PO, GRN,
Invoice). If all three matched, the invoice auto-posted. For service
POs, we used 2-way matching (PO & invoice), since
no physical goods were involved. Any mismatch went into blocked status
for investigation.
10. How do you manage aged payables or
long-outstanding invoices?
Answer:
I ran AP Aging reports weekly. For invoices nearing or
over 90 days, I followed up with the business unit or vendor for any
dispute resolution. I
also flagged aged payables in our month-end review meetings to ensure timely
clearance or accruals.
11. What steps do you take before
processing payments to vendors?
Answer:
1. Confirm invoice approval and GRN.
2. Validate vendor bank details (especially for new
vendors).
3. Review due dates and payment terms.
4. Check if any invoices are on hold.
5. Include vendor in payment run, review exceptions, and get approvals before release.
12. Have you dealt with blocked
invoices? How did you resolve them?
Answer:
Yes. Blocked invoices occurred due to price
mismatches, missing GRN, or PO tolerance breaches. I reviewed the cause using
SAP’s MIRO and MRBR reports, then coordinated with
procurement or end-users to resolve and clear the block for payment.
13. How do you handle urgent payment
requests outside the scheduled payment run?
Answer:
I verified the urgency with the business unit, ensured
invoice approvals and budget availability, then processed the payment
manually via treasury or using a special immediate
payment T-Code in SAP (e.g., F-53). Proper documentation was
maintained for audit trails.
14. Explain how you performed vendor
reconciliation.
Answer:
I obtained the vendor SOA (statement of account),
matched it against our AP subledger, identified
missing invoices/credit
notes/payments, and prepared reconciliation statements. Unreconciled items were escalated or
corrected via debit/credit
memos or reprocessing.
15. Describe a time you prevented a fraudulent or
erroneous payment.
Answer:
Once a vendor submitted a
changed bank account via email. I flagged it for verification, escalated to the vendor master
team, and later discovered the email was spoofed. This
prevented a potential fraud of INR 8 lakhs. Since
then, we enforced
verbal verification.
16. How do you handle non-PO invoices?
Answer:
Non-PO invoices required manual validation and routing
for approval via workflow or email authorization. I
ensured proper
GL coding, cost centre tagging, and business unit
approval before processing.
17. Have you handled foreign currency
vendor invoices?
Answer:
Yes. I ensured the correct currency and exchange rate were
picked from the system (e.g., based on forex table in SAP),
calculated tax separately, and ensured the forex
gain/loss was posted accurately during payment or month-end revaluation.
18. How do you ensure compliance with
TDS/GST or local tax requirements?
Answer:
I checked vendor types, PAN availability, and nature
of service to apply the correct TDS section.
For GST, I ensured correct
HSN/SAC codes, GSTIN match, and tax jurisdiction. Rejected mismatches via RCM logic and corrected
entries through JV
adjustments.
19. What’s your process during month-end
AP closing?
Answer:
Ensure all invoices are posted for the period.
Reconcile GR/IR and AP subledger.
Post AP accruals for unreceived invoices.
Review blocked invoices and clear as needed.
Submit AP aging and liability reports.
Assist with audit schedules and JE posting.
20. How do you communicate and follow up
with vendors on pending issues?
Answer:
I maintained a tracker of open issues, sent weekly
follow-ups via email, and scheduled vendor calls for resolution. I used a
standard format including invoice number, PO, issue
type, and expected action. This built accountability
and improved
turnaround time.
21. Describe how you updated or
corrected vendor master data.
Answer:
Changes were routed via a standardized vendor change
form, validated with supporting documents (GST, PAN, cancelled
cheque), and approved by authorized personnel. Then,
it was updated in SAP using XK02 or via master team’s workflow tool.
22. What controls do you have in place
to prevent duplicate or overpayments?
Answer:
Enabled duplicate checks in ERP.
Regular vendor reconciliations.
Mandatory invoice number + date checks.
Clear segregation
between invoice entry and payment release.
Approval workflow for invoices and urgent payment
exceptions.
23. How do you train new team members in
AP processes?
Answer:
I created SOPs, gave them walkthroughs of live cases,
provided process flowcharts, and monitored their work in the first few
weeks. I also involved them in small reconciliations and gradually moved to invoice processing and
exception handling.
24. Have you worked on AP automation tools or workflows?
Answer:
Yes. We used Basware integrated with SAP for invoice
capture and approval workflow. It automated invoice scanning, OCR
matching, routing to
approvers, and reduced manual entry by ~60%. I also worked on se􀆫ng up rules for auto-coding based
on vendor and cost centre.
25. How do you handle credit memos from
vendors?
Answer:
Credit memos were validated against the original
invoice or overpayment. I ensured correct posting
with negative amounts,
adjusted in the next payment run, or offset via manual
clearing (F-44 in SAP). Documentation
was attached for audit trail.
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