Accounts Payable Clerk

Haddad Plumbing & HeatingNewark, NJ
21h

About The Position

Haddad Plumbing and Heating Inc. has Been in Business for 25 Years Servicing New Jersey, New York City, and Westchester County in Mid-Rise and High-Rise buildings with Exceptional Work and a Proven Track Record. This is a Terrific Opportunity for a Well Organized and Outgoing Individual to have a Great Career in a Great Industry.

Requirements

  • Strong grasp of basic accounting principles.
  • Proficient in Microsoft Office Suite; SAGE 100 experience is a plus.
  • Strong organizational skills, including multitasking and time-management.
  • Excellent written and verbal communication skills.
  • Strong interpersonal skills; capable of working independently and collaboratively.
  • Enthusiastic about learning and advancing within the company.
  • High attention to detail and quick retention of new information.
  • Punctual and dependable.

Nice To Haves

  • Associate’s degree in accounting, or one year of accounts payable or accounting experience, or an equivalent combination of education and experience.
  • Bilingual in Spanish or Portuguese.

Responsibilities

  • Data entry into Sage 100, Fishbowl, and Excel as well as other systems and databases as needed for both companies Haddad Plumbing & Heating Inc. and HP Services Inc.
  • Review and process of all invoices and packing slips for appropriate documentation and payment.
  • Validation of invoices and packing slips against purchase orders.
  • Validation of materials received vs. purchase order and process discrepancies accordingly .
  • Acts as liaison between bookkeeping department, purchasing department and warehouse.
  • Coordinate time transfers between Exaktime, Sage, and Isolved.
  • Verify sick/vacation time in Isolved for employees not clocked in and maintain weekly attendance and sick/vacation logs.
  • Reconciliation of monthly vendor statements.
  • Ensure all tax-exempt jobs are properly invoiced.
  • Ensure all invoices match packing slip and purchase order pricing and quantity.
  • Manages and processes all credits on accounts.
  • Answer all vendor inquiries.
  • Prepares weekly reports for the Finance Manager and CFO of all payables due.
  • Weekly meeting with Finance Manager and CFO for payment schedules
  • Prepares checks and payments to be sent to vendors.
  • Ensures all overhead bills are paid promptly.
  • Reconciles credit cards.
  • Disputes charges that are unidentified or seek information from Finance Manager and CFO for any charges without receipt.
  • Manages credit card log, ensures all documentation is complete and appropriate approvals are made and ensures copies of receipts are provided.
  • Reconciles bank accounts.
  • Maintain all accounts payable reports, spreadsheets and accounts payable files.
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