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Vendor & Billing Coordinator - India
Posted on Dec. 19, 2025
- Mh, India
- 0 - 0 USD (yearly)
- Full Time
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- Collect and maintain updated vendor details across India, including their assessment and valid quotations.
- Ensure all vendor details are cross-checked and verified against the assessment documents.
- Ensure all vendor assessments are validated with the required stamps and signatures.
- Safeguard hard copies of vendor assessments and agreements.
- Ensure that vendor information and agreements are securely filed and easily accessible.
- Coordinate with relevant teams to identify new vendors and collect the necessary details for adding them.
- Update vendor information in the Excel sheet and complete the assessment process for new vendors.
- Review all vendor quotations for accuracy, ensuring they include contract periods and terms and conditions.
- Confirm that quotations match the final agreed-upon terms.
- Follow up with vendors to obtain bill details as per the fixed billing cycle.
- Ensure all required information (e.g., amount, HAWB, billing location, origin, and destination) is provided and matches agreed terms.
- For air-related bills, cross-check the amounts with the airline charges.
- Verify air bills against master amounts and the TSP (Third-Party Service Provider) statement.
- Ensure consistency between the details in Excel sheets, CAPS (Customs Automated Processing System) data, and vendor documents (e.g., HAWB, billing location, origin/destination, charges).
- Verify if any HAWB is a duplicate and resolve based on packaging placement or return credo situations, as explained in internal training.
- Cross-check surface bills with quotations to verify amounts.
- Ensure tax invoices are complete with necessary details such as date, invoice number, GST number, and amount. These should match the approved Excel sheet with proper stamps and signatures.
- Follow up with vendors for timely receipt of bill details and necessary documentation.
- Ensure the prompt submission of bills to the finance team within 3-4 days of receipt.
- Track and maintain a record of final bills’ receipt, submission to finance, and credit period details in the provided Excel file format.
- Collaborate with the finance team to ensure timely release of payments, with prior notification at least 10 days before the credit period expires.
- Maintain a record of payment details, ensuring that all invoices are paid within the stipulated time frame.
- Ensure all payments are processed according to the agreed timeline
- Strong knowledge of billing processes, contract management, and vendor relations.
- Strong attention to detail with the ability to analyze complex invoices and contracts.
- Excellent communication, negotiation, and problem-solving skills.
- Ability to manage multiple tasks, prioritize workloads, and meet deadlines.
- Operational & Geographical Knowledge.
- Proficiency in Microsoft Office Suite (Excel, Word, PowerPoint) and financial software.
- Proficiency in Spreadsheets
- Effective communication skills (both written and oral)
- Analytical skills
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