Division Staff Accountant (Hybrid)

PCC Talent Acquisition PortalTulsa, KS
Hybrid

About The Position

Applies accounting principles to analyze financial information and assist in monthly close responsibilities. Maintains the accounts payable process and records for disbursements. Reconciles open purchase orders and prepares journal entries to support monthly financial statement reviews. Responsible for the adherence to and communication of accounting and auditing policies and procedures. Complies with SOX controls and assists in quarterly testing.

Requirements

  • Must have the knowledge, skill, and ability to meet expectations for required competencies in position, which includes: 1) safety, health, and environmental awareness, 2) business ethics and compliance, 3) technical/professional competence and quality & time management, 4) interpersonal relations and communication skills, 5) initiative, flexibility, innovation, and adaptability, 6) continuous improvement and problem solving, and 7) planning and organizing.
  • Ability to prioritize and complete multiple tasks and high volume of work on deadlines.
  • Ability to interact professionally with suppliers and fellow team members.
  • Be willing to research, evaluate and train new process methods.
  • Proficient in Microsoft Office (Word, Excel, Outlook, and Power Point);
  • Well-developed verbal and written communication, collaboration, and time management skills.
  • Demonstrates prioritization and planning skills.
  • Bachelor’s degree in Business or Accounting
  • 2-3 years’ related experience

Responsibilities

  • Manage and perform the full-cycle Accounts Payable process including posting invoices, obtaining statements from Vendors, reconciling the Accounts Payable aging reports, processing payments, approving purchasing card and travel expense reports, request travel and purchasing cards for employees and hosting weekly meetings with purchasing and receiving teams to ensure PO’s are received and invoices are processed timely.
  • Review, analyze, and reconcile GL accounts including payables, cash, pre-paid, fixed assets, and accrued liabilities.
  • Assist in month-end close process within deadlines, including journal entry preparation according to JE checklist timelines through the month and on a 2-day close schedule.
  • May occasionally perform special projects; Perform other duties as assigned
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