Accounts Payable Specialist Controller

PorchLight ServicesShorewood, MN
$30 - $32Remote

About The Position

The Accounts Payable Specialist will be responsible for compiling, processing and maintaining account payable records. The position will report to the Controller. Candidate must be a confident self-starter able to manage their responsibilities and tasks with minimal supervision following the initial training period.

Requirements

  • 2-year degree (associate/technical) in accounting
  • Minimum 2-3 years of experience in processing accounts payable with some exposure to GL accounting
  • Proficiency in using electronic accounting software required.
  • Must be reliable and extremely trustworthy.
  • Must be proficient in Microsoft Office Suite or related programs.
  • Must be able to learn other accounting software systems.
  • Excellent organizational skills and attention to detail.
  • Ability to maintain confidential and meticulous records.
  • Computer skills required as well as 10-key and Excel spreadsheets.
  • Must have strong attention to detail, communication and problem-solving skills.

Nice To Haves

  • Experience in fixed assets helpful

Responsibilities

  • Facilitate entry and payment of vendor invoices, which may include verification of vendor information, reviewing purchase orders, and resolving discrepancies.
  • Route vendor invoices to department managers for review and approval.
  • Enter invoices, including purchase order invoices, and applicable use tax in NAV system. Monitor invoices for fixed asset purchases.
  • Prepare weekly check run for review, approval, printing and mailing.
  • Respond to vendor inquiries and communications in a timely and thorough manner.
  • Record ACH/EFT payments of invoices in general ledger as they are processed.
  • Record bi-weekly payroll and off cycle bonuses entry in general ledger.
  • Records petty cash activity and verifies documentation of usage.
  • Other related duties as assigned.
  • Assists with accounting records and ledgers by reconciling monthly statements and transactions.
  • Update and enter monthly freight accrual - tracking containers and billings for freight cost entry.
  • Reconcile use tax and prepare use tax return on a monthly basis.
  • Reconcile balance sheet accounts: deposits to CIP, use tax payable.
  • Maintain additions, adjustments and deletions in Sage Fixed Assets system.
  • Enter monthly depreciation and amortization in NAV.
  • Track and monitor vendor invoices to be accrued.
  • Run reporting and prepare 1099 forms for vendors.
  • Provide internal and external audit assistance as required.
  • Assist with forecasting and budgeting tasks.
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