About The Position

The Accounting Specialist is responsible for full-cycle accounts payable processing, including invoice entry, payment batch execution, vendor account maintenance, and month-end close activities. This role requires strong attention to detail, a high sense of ownership, and the ability to work in a fast-paced, deadline-driven environment.

Requirements

  • 2+ years of Accounts Payable experience
  • Strong understanding of three-way matching, invoice processing, and vendor reconciliation
  • Experience with ERP systems and integration uploads (e.g., Great Plains, Microsoft Dynamics, Avid, Tipalti, etc.)
  • Intermediate Excel skills (v-lookups, pivot tables, data uploads, reconciliations)
  • Excellent communication and customer service skills when interacting with vendors and internal departments
  • High level of accuracy, organization, confidentiality, and accountability

Nice To Haves

  • Experience in a multi-entity or multi-currency environment
  • Prior exposure to month-end close responsibilities
  • Familiarity with bank reconciliation and payment application
  • Ability to thrive in a fast-growing or dynamic company

Responsibilities

  • Process high-volume vendor invoices with accuracy and timeliness, ensuring proper GL coding and approval routing.
  • Manage a daily queue of purchase orders and perform three-way matching (PO, approval, invoice) corresponding with operations personnel to resolve any issues.
  • Reconcile vendor accounts monthly, including resolving discrepancies, short-pays, unapplied credits, and aging issues.
  • Own the Accounts Payable aging and proactively drive resolution of past-due invoices, credit memos, and open balances.
  • Execute payment runs via ACH, check, wire, or credit card and support weekly cash requirements forecasting.
  • Apply cash payments to vendor invoices and assist with bank reconciliation as part of the month-end close process.
  • Code company credit card transactions for monthly statement cycle (Amex, Navan).
  • Perform system integration batch uploads as required.
  • Conduct detailed research on transactions to resolve vendor, internal stakeholder, and accounting inquiries.
  • Support onboarding and maintenance of vendor accounts, including W-9 collection, banking changes, and compliance checks.
  • Assist with month-end close activities, including AP accruals, journal entries, reconciliation of subledgers, and reporting.
  • Identify process gaps and participate in continuous improvement initiatives to drive efficiency, accuracy, and automation.
  • Other accounting or finance tasks as assigned.

Benefits

  • We want to be able to continuously innovate to empower success. That’s why, in addition to exciting career opportunities throughout the world, we also provide the best training in the industry.
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