Accounts Payable Administrator (6-month term)

Arnett & Burgess Energy ServicesBlackfalds, AB
Hybrid

About The Position

Our Accounting group is currently looking to add a Accounts Payable Administrator to the team, based out of our Calgary or Blackfalds office on a 6-month term (with potential to extend). Reporting to the Controller, we are seeking a detail-oriented and high-volume AP professional with a strong understanding of the full accounts payable cycle to process committed job costs, cost accruals, vendor invoice reconciliation, and payment runs within our ERP system. This is a fast-paced, transactional role requiring speed, accuracy, and a strong commitment to internal controls.

Requirements

  • Post-Secondary education in Accounting, Finance, or a related field or an equivalent combination of relevant education and experience may be considered
  • Thorough understanding of the AP cycle including committed cost, cost accrual, and 3-way match reconciliation
  • Strong financial accounting background with working knowledge of AP's impact on the income statement, balance sheet, and job costing reports
  • Understanding of GST input tax credits and the difference between GST and Provincial Sales Tax applicability
  • Proficiency with Microsoft 365 including intermediate to advanced Excel skills (pivot tables, data reconciliation)
  • Ability to work independently, manage high volumes, and meet tight payment deadlines
  • Applicants must have legal authorization to work in Canada with no restrictions.

Nice To Haves

  • Experience with Eclipse ERP or a similar ERP system
  • Familiarity with AP automation tools, digital approval workflows, and cloud-based document storage
  • Experience with electronic invoice submission portals

Responsibilities

  • Process committed job costs, cost accruals, and reconcile final vendor invoices against purchase orders using a 3-way match within Eclipse
  • Execute high-volume vendor payment runs including reconciling the vendor trial balance, compiling supporting documentation, obtaining Provincial and WCB clearances, and processing EFT and cheque payments accurately and on schedule
  • Review and process cost accruals for reasonableness prior to posting; flag discrepancies or unusual entries to the appropriate supervisor
  • Complete all AP transactional processing requirements in support of month-end and year-end close, including accrual posting, subledger reconciliation, and timely invoice clearance
  • Perform vendor statement reconciliations and manage subcontractor agreements including quarterly MSA discount reconciliations and GL postings
  • Assist with inventory counts and costing of small tools and warehouse vans
  • Support purchasing and fuel charge accounts
  • Assist with general administrative duties including reception coverage, digital recordkeeping, and training support as required

Benefits

  • company-matched RRSP program
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