Accounting Assistant - Accounts Payable

Tag Management IncSan Diego, CA
$26 - $30Onsite

About The Position

We are seeking a dependable and detail-oriented Accounts Payable Associate / Accounting Assistant to support day-to-day accounting operations in our La Jolla office. This role is primarily responsible for accounts payable processing, bank and credit card reconciliations, and basic bookkeeping functions. The ideal candidate has experience handling transactional accounting tasks, maintaining accurate records, and working independently within assigned responsibilities. This position is well suited for someone with strong organizational skills, basic accounting knowledge, and experience supporting client bill pay and accounting. We’re also building the team of the future. That means this role is expected to be comfortable with technology and willing to learn and use automation and AI agents to reduce manual work, increase accuracy, and speed up turnaround times.

Requirements

  • 1–3 years of accounts payable, bookkeeping, or accounting support experience
  • Experience with bank and/or credit card reconciliations
  • Basic understanding of accounting principles and general ledger coding
  • Experience with accounting software and Microsoft Excel
  • Strong attention to detail and organizational skills
  • Ability to manage routine tasks independently and meet deadlines
  • Accounts payable processing
  • Bank reconciliations
  • Credit card reconciliations
  • Basic bookkeeping
  • Data entry accuracy
  • Organization and time management
  • Communication and follow-up
  • Confidentiality and professionalism

Nice To Haves

  • Associate degree or coursework in Accounting or Bookkeeping
  • Experience with QuickBooks or similar accounting software
  • Experience in small business accounting environments

Responsibilities

  • Review and process vendor invoices accurately and timely
  • Verify invoice coding, approvals, and supporting documentation
  • Enter invoices into the accounting system
  • Prepare and process check, ACH, and electronic payments
  • Maintain vendor files and records
  • Respond to vendor inquiries and resolve routine payment issues
  • Assist with maintaining AP aging and payment schedules
  • Perform monthly bank account reconciliations
  • Reconcile company credit card transactions and statements
  • Research and resolve basic discrepancies and missing transactions
  • Maintain accurate financial records and supporting documentation
  • Assist with account coding and expense tracking
  • Assist with data entry and bookkeeping activities
  • Support month-end close preparation and documentation
  • Prepare basic journal entries as assigned
  • Maintain organized accounting files and records
  • Assist with administrative accounting tasks and reporting
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