What are the responsibilities and job description for the Accounts Payable Accountant position at OSI Engineering?
Accountant (Accounts Payable)
Job Summary:
We are seeking a detail-oriented Accountant to assist with accounting related tasks such as Procure-to-Pay, expense reports, fixed assets, month-end closing processes and contract database. The initial focus will be on accounts payable and then progress to other accounting responsibilities as needed. This role is 1 of 3 on the accounting team and will report to the Director of Accounting & Controller.
- Responsibilities:Update and maintain vendor database in Bill.com and/or NetSuite
- Ensure complete documentation of new vendors including W9 and appropriate approval and set up
- Coordination with team members regarding purchase requisitions and creation of POs in NetSuite
- Process incoming mail, and process vendor invoices via proper routing for cost owner approvals
- Perform account coding for vendor transactions and ensure department coding and appropriate expense period
- Manage employee expense reporting workflow and policy compliance
- Preparation of payment run weekly to ensure timely vendor payments, and process customer refunds
- Perform monthly Accounts Payable module close
Additional Responsibilities:
- Maintain Fixed Assets, including additions, retirements, depreciation and amortization
- Maintain Prepaid Assets - create amortization schedule in NetSuite and record monthly amortization
- Perform month end and year end closing processes, including preparation of journal entries and General Ledger account reconciliations - (Journal Entries including but not limited to, prepaid and amortizations, expense accrual, recording monthly direct sales and credit card transactions)
- Upload daily orders and refunds data reports periodically (weekly and monthly)
- Coordination with outsourced sales tax service provider to ensure prompt actions taken on sales tax related correspondences, reconcile monthly third-party sales tax reports
- Manage corporate credit card database and assist with financial audits
Requirements:
- Bachelor’s degree in Accounting, Finance or Business Administration preferred
- Solid understanding and experience with Generally Accepted Accounting Principles (GAAP)
- NetSuite and Bill.Com experience is strongly preferred
- Proficient computer skills, including intermediate Microsoft Excel, Word and PowerPoint, advanced Excel user would be a plus
- Ability to work a hybrid onsite schedule (2 days/week).
Location: Menlo Park, CA (onsite Tues/Weds)
Duration: 4-5 months
Pay Rate: $55-65/hr. W2 (depending on experience)
Salary : $55 - $65