Staff Accountant

Rain Media/Organics OceanWilsonville, OR
$82,000 - $92,000Remote

About The Position

Organics Ocean is looking for an outcomes-driven Staff Accountant to scale our fast-growing DTC supplement business (doubling YoY). In this high-ownership role, you will maintain balance sheet integrity, manage month-end close discipline, govern GL precision, and deliver trusted financial visibility to leadership. This is a hands-on execution role for someone who thrives in a fast-paced environment beyond routine AP/AR data entry. Organics Ocean is a premium DTC supplement brand empowering health through science-backed, clean, and effective products. We are building a trusted wellness authority rooted in transparency, education, and long-term customer loyalty. We operate in a high-growth, fast-paced environment where we constantly test, optimize, and innovate. Our team consists of high-performing operators who move with urgency and take pride in their craft. We maintain a collaborative, low-ego culture where feedback is direct, expectations are clear, and strong ideas win regardless of title. We believe our next stage of expansion requires A-players who thrive in ambiguity and hold a high bar for excellence. To learn the founder’s story and more about Organics Ocean, visit our website and review our Cultural Pillars. Rapid Expansion: Join an innovative eCommerce leader experiencing 350% year-over-year growth. True Ownership: We trust our team to lead and execute without micromanagement. We value individuals who take initiative and drive meaningful results. Elite Performance: Work alongside driven professionals in an environment built for continuous improvement and professional evolution.

Requirements

  • 4+ years of professional accounting experience with strong exposure to monthly close cycles.
  • Accounting or Finance degree.
  • Proven experience with journal entries, accruals, prepaid schedules, balance sheet reconciliations, account analysis, and workpaper preparation.
  • Strong general ledger and chart of accounts discipline.
  • High attention to detail with the ability to move quickly without sacrificing precision.
  • Strong analytical fluency tied to reconciliation accuracy, trend validation, and financial integrity.
  • Proven ability to turn raw transactional data into trusted information truth.
  • Experience improving close-cycle confidence through documentation rigor and account-level accuracy.
  • Strong cross-functional partnership skills with finance leadership and teams that rely on accurate financial reporting.
  • Must be legally authorized to work in the United States and able to work consistently within U.S. business hours.
  • Willingness to work U.S. time zones, regardless of geographic location.
  • Access to a computer, a reliable internet connection, and a distraction-free work environment.
  • Ability to accommodate limited required travel (up to 10%).

Nice To Haves

  • Experience in DTC, eCommerce, Amazon, Shopify, Walmart, or settlement-heavy environments.
  • Familiarity with Fulfill, QuickBooks Online, or similar accounting systems.
  • Comfortable operating in a fast-growth, high-ambiguity environment.
  • A builder-operator accountant, not someone looking for a narrow AP/AR-only lane.
  • Thrives in environments where workflows evolve, systems must be strengthened, and accounting rigor scales alongside the business.
  • Comfortable stepping into a blank slate or partially built accounting workflow and improving its structure.
  • Excited by future growth complexity, including retail expansion, new channels, and additional finance infrastructure.

Responsibilities

  • Own key components of the monthly close cycle, ensuring speed, accuracy, and strong documentation discipline.
  • Prepare and post journal entries related to accruals, prepaids, recurring adjustments, and revenue/expense recognition.
  • Maintain close-cycle workpapers and support schedules that create confidence in financial reporting.
  • Ensure recurring close tasks are completed on time with strong precision and minimal rework.
  • Strengthen the company’s evolution from raw financial data to trusted information truth.
  • Own recurring balance sheet reconciliations, prepaid schedules, accrual reconciliations, and account analysis.
  • Validate supporting activity behind transactions, settlement statements, vendor flows, and recurring financial movements.
  • Reconcile cash, fees, reserves, and net payout activity across platforms, vendors, and channel statements.
  • Build clear workpaper logic that ties reconciliations back to the general ledger.
  • Support the integrity of A2X and platform-to-GL data flows.
  • Identify anomalies, missing entries, or coding inconsistencies before they impact reporting.
  • Maintain archival discipline for reconciliation backup and audit-readiness.
  • Help validate transaction logic as future channel complexity expands into retail and additional revenue streams.
  • Perform trend, variance, and account-level analysis to validate reporting accuracy.
  • Investigate unexpected balance movement, coding irregularities, or month-over-month shifts.
  • Translate transactional data into trustworthy financial narratives leadership can act on.
  • Surface patterns and insights that strengthen decision confidence.
  • Help finance leadership reduce reliance on raw data by improving information quality.
  • Maintain strong general ledger and chart of accounts discipline.
  • Support process improvements that increase close-cycle speed and reliability.
  • Strengthen documentation standards, workpaper systems, and reconciliation workflows.
  • Partner on project-based accounting initiatives tied to scale and future complexity.
  • Help build the accounting foundation required for new channel expansion and long-term growth.

Benefits

  • Competitive base salary
  • Eligible for a quarterly bonus
  • 15 days of PTO
  • 10 paid U.S. holidays per year
  • Comprehensive healthcare, dental, and vision plans
  • 401(k) with a best-in-class company match
  • Exclusive employee product discounts
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