Role Overview
The Accounts Payables & Treasury Executive / Manager will be responsible for end-to-end vendor payments, supplier reconciliations, treasury management, cash-flow planning, and compliance for Pickyourtrail’s outbound travel business. The role ensures timely settlements, strong working-capital hygiene, accurate books in Zoho Books, and a high-trust ecosystem with global suppliers.
Key Responsibilities
1. Accounts Payables (AP) – Core Execution
- Process supplier invoices across destinations (Maldives, Bali, Europe, etc.) with strict adherence to internal SLAs.
- Verify bookings, vouchers, cost sheets, rate cards, and approvals before payment.
- Ensure correct tax treatment (GST, TCS, RCM if applicable) for all AP entries.
- Coordinate with Sales, Supply & Ops teams for booking confirmations, amendments, cancellations, reissued vouchers, and refunds.
- Maintain clean vendor ledgers—zero ageing, zero mismatch.
- Monitor advance payments (hotel, DMC, activity partners) and adjust against final invoices.
- Handle high-volume payments during peak seasons while maintaining accuracy.
2. Vendor Management & Reconciliation
Perform monthly reconciliation with all suppliers (DMCs, hotels, airlines, activity partners).Identify and resolve discrepancies in rates, room categories, nights, currency conversion, cancellations, and refunds.Track PLB, PIC & incentive reconciliations with supply partners.Maintain updated vendor master data (banks, SWIFT codes, GSTIN, agreements, credit terms).Build strong relationships with suppliers and ensure timely follow-up for invoices, credit notes, and statements.3. Treasury & Cash Flow Management
Plan and execute daily payment runs based on priority, departure dates, and available float.Monitor customer collections, supplier payouts, and maintain accurate cash-flow visibility.Manage foreign currency payments (USD / EUR / IDR / MVR / …) and ensure efficient FX conversion.Track region-wise float (Maldives, Europe, Bali, Vietnam) and ensure no negative float.Prepare weekly treasury reports :
Cash flow forecastBank balancesPending APExpected collectionsFX exposures4. Compliance & Controls
Ensure full documentation for every payment—voucher, booking trail, approvals, invoice.Strengthen internal controls :Maker–checkerPayment approval matrixVendor onboarding processAudit-ready documentationSupport statutory and internal audits by preparing all AP schedules.Adhere to SOPs, loss-control guidelines, and finance policies of Pickyourtrail.5. Zoho Books & System Excellence
Enter AP bills, credits, journals in Zoho Books with high accuracy.Assist with Zoho Books migration tasks (clean-up, mapping, validations).Reconcile vendor balances monthly in Zoho.Maintain payment logs, tracker sheets, and cross-functional dashboards.6. Cross-Functional Collaboration
Work closely with :Sales (booking approvals, amendments)Supply (rate issues, vouchers, cancellations)Ops (confirmation of travel completion)Customer Experience (refunds, escalations)Provide regular updates to Finance Controller on AP ageing, float, and cash-flow.