Accounting, Accounting Close, Accounting Software, Accounts Payable, Accrual-Basis Accounting, Billing, Communication Skills, Computer Skills, Corporate Finance, Cost Analysis, Customer Support/Service, Data Entry, Detail Oriented, Documentation, Expense Analysis, Expense Reports, Finance, General Ledger Accounting, Journal Entries, Mathematics, Microsoft Dynamics GP (fka Great Plains Dynamics), Microsoft Excel, Microsoft Word, Pivot Tables, Presentation/Verbal Skills, Product Reviews, Property Tax, Purchase Orders, Reconciliation, Record Keeping, Tax Regulations, Time Management, Vendor/Supplier Relations, Vlookups, Writing Skills
LOCATION
Jacksonville, FL
POSTED
5 days ago
Position Summary
This position serves as the primary bridge between standard corporate accounting-including month-end close, accruals, journal entries, and tax compliance—and AP processing- verifying, coding, and reconciling invoices.
Career Opportunity: Because this role acts as a bridge between transactional AP and broad accounting, it provides a track to higher-level corporate finance roles.
Duties and Responsibilities
Assists the AP Manager and Accounting Manager with managerial duties as directed.
May oversee functions of the department in the Manager’s absence as directed.
As the subject matter expert for the AP function, will assist the AP Manager in checking/reviewing the work product of a staff of AP Specialists.
Reconciles processed work by verifying entries and comparing system reports to balances.
Charges expenses to accounts and cost centers by analyzing invoice/expense reports, recording entries.
Pays vendors by monitoring discount opportunities; verifying federal id numbers; scheduling and preparing checks; resolving purchase order, contract, invoice, or payment discrepancies and documentation; insuring credit is received for outstanding memos; issuing stop-payments or purchase order amendments.
Knowledgeable in Accrual Accounting, account reconciliations and creating journal entries.
Maintains accounting ledgers by verifying and posting account transactions.
Proficient Excel skills capable of creating/using pivot tables and v-lookup functions.
Verifies vendor accounts by reconciling monthly statements and related transactions.
Maintains historical records by filing invoices and checking remittances.
Protects organization's value by keeping information confidential.
Updates job knowledge by participating in educational opportunities.
Accomplishes accounting and organization mission by completing related tasks timely.
Assist with general ledger coding questions.
Personal Property Taxes and Unclaimed Property Tax.
Prints and obtains signatures on all accounts payable checks
Assists in monthly closings
Maintains vendor information, determining if vendors are 1099 vendors, sending out W9 requests
Processes annual 1099s for vendors
Periodically escheats monies to state as needed
Other tasks and special projects as assigned.
Experience, Skills and Education
Associate Degree or a bachelor’s degree in accounting/finance preferred.
5+ years of recent hands-on, corporate accounting experience.
Ability to supervise or review the work of other accountants.
Skills: Attention to Detail, Thoroughness, Organization, Analyzing Information, Strong Customer Service skills, Good communication skills – both written and verbal, Understanding of general ledger chart of accounts, Basic accounting knowledge a plus, Maintaining Vendor Relationships, PC Proficiency, Data Entry Skills, General Math Skills, Proficient with MS Word and Excel, Experience with multiple checking accounts a plus, Experience with Accounting Systems a plus – especially MS Dynamics (Great Plains).