Korean Bilingual Accounting Payable Specialist

BTI Solutions•Dallas, TX
•$50,000 - $70,000

About The Position

We are seeking a dependable, detail-oriented team member to support accounts payable, daily banking activities, and expense management across multiple business entities. This role works closely with Accounting, Operations, and the Supply Department.

Requirements

  • Approximately 1–3 years of AP, bookkeeping, or related accounting experience; more experienced candidates are also welcome.
  • Working knowledge of QuickBooks and Excel.
  • Strong attention to detail, organization, and follow-through.
  • Comfortable working across multiple business entities and coordinating with different departments.
  • Willing to question unclear charges, investigate discrepancies, and suggest practical improvements.
  • Accounting education or equivalent hands-on experience.

Nice To Haves

  • Korean/English bilingual skills preferred.

Responsibilities

  • Check daily bank balances for each business entity and identify upcoming funding needs.
  • Coordinate and process authorized transfers between accounts as needed.
  • Prepare vendor payments after confirming required approvals and supporting documentation.
  • Record checks, ACH payments, wire transfers, online payments, and automatic withdrawals in QuickBooks.
  • Monitor scheduled payments and recurring withdrawals to help prevent missed or duplicate payments.
  • Enter all vendor and subcontractor invoices under the correct business entity, customer account, and expense category.
  • Verify that invoices follow company purchasing and approval procedures before payment.
  • Confirm charges against purchase orders, receipts, service records, or other supporting documentation, as applicable.
  • Reconcile vendor statements, bank accounts, and credit card transactions.
  • Resolve billing discrepancies, missing invoices, duplicate charges, and unapplied credits.
  • Monitor AP aging and follow up on items awaiting approval or clarification.
  • Assist with month-end reconciliations and ensure expenses are recorded in the appropriate period.
  • Set up vendors and maintain vendor applications, W-9s, payment terms, and related records.
  • Verify vendor payment information and changes according to company procedures.
  • Communicate with vendors regarding invoices, credits, payment status, and account discrepancies.
  • Assist with year-end 1099 preparation.
  • Review recurring expenses to understand what the company is paying for and whether charges remain appropriate.
  • Monitor expense fluctuations and investigate unexpected increases.
  • Identify potential savings, compare alternative vendors, and recommend changes without compromising service quality.
  • Track subscriptions and recurring services, flagging unused services or unnecessary charges.
  • Work with the Supply Department to monitor janitorial consumable spending against each customer account’s budget.
  • Follow up on over-budget purchases, unusual usage, price changes, delivery or billing discrepancies.
  • Track expected vendor credits and refunds through receipt and reconciliation.
  • Provide management with clear updates on spending trends, budget variances, and potential savings.
  • Maintain organized records and supporting documentation.
  • Help improve invoice submission, approval, payment, and expense-tracking processes.
  • Provide backup support for other accounting functions as needed.

Benefits

  • Health, dental, and vision insurance.
  • 401(k) with company match.
  • Paid time off and holidays.
  • Opportunities to grow into broader accounting responsibilities.
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