Commodities Accounting Specialist

Optimus•Houston, TX

About The Position

A key Optimus client is seeking an experienced accounting professional to support two critical areas of the business: Accounts Payable and Commodities Settlements. This is a hands-on individual contributor position, with approximately 50% of the role focused on AP activities and 50% supporting the settlement of physical commodity transactions. The ideal candidate will bring solid AP experience along with experience working within a commodity trading environment, particularly with refined products, petrochemicals, feedstocks, or similar physical commodities.

Requirements

  • 5+ years of combined Accounts Payable and/or commodities settlements experience.
  • Previous experience settling physical commodity transactions within a trading organization is required.
  • Solid Accounts Payable experience, including invoice processing, vendor reconciliation, credits, and discrepancy resolution.
  • Experience working with traders, operations, accounting, counterparties, and/or commercial teams.
  • Strong attention to detail with the ability to identify discrepancies across high volumes of transactions.
  • Comfortable working independently in a small, fast-moving organization.
  • Strong Excel skills and experience with ERP/accounting systems.

Nice To Haves

  • Experience with refined products, petrochemicals, feedstocks, natural gas, crude, or other physical commodities preferred.
  • Strong understanding of the trade lifecycle and how transactions flow from execution through invoicing, settlement, and payment.
  • Experience with NetSuite and/or Bill.com is a plus.

Responsibilities

  • Manage day-to-day Accounts Payable activities, including invoice processing, vendor accounts, reconciliations, credits, and discrepancy resolution.
  • Support month-end close, accruals, audits, and other accounting activities.
  • Process and reconcile commodity trade settlements and related documentation.
  • Work with trading, operations, accounting, and counterparties to ensure trades are accurately settled and discrepancies are resolved.
  • Review transaction information, invoices, payments, and supporting documentation for accuracy.
  • Assist with maintaining accurate records across multiple transactions, vendors, and counterparties.
  • Identify and resolve issues affecting timely and accurate settlement or payment.
  • Support process improvements and other accounting/settlement projects as needed.
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