Accounting Coordinator
Listed on 2026-03-13
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Accounting
Accounting Assistant, Accounts Receivable/ Collections -
Finance & Banking
Accounts Receivable/ Collections
Job Title: Accounting Coordinator I
Position Type: Full-Time
The Accounting Coordinator I supports daily accounting operations, including accurate invoice processing, timely payment execution, and resolution of billing and account discrepancies. This role is critical in maintaining financial accuracy, supporting collections efforts, and ensuring compliance with internal policies and accounting standards.
Essential Duties and ResponsibilitiesAccounts Receivable (A/R) Support
Perform A/R collections by following up on past‑due invoices, reconciling account discrepancies, and researching customer data through customer portals.
Research and resolve billing issues and disputes in coordination with customers and the Operations team.
Post customer payments, prepare bank deposits, and process credit memos.
Maintain and respond to A/R correspondence and customer inquiries in a timely and professional manner.
Prepare monthly A/R spreadsheets, Net Suite imports, and other customer‑related reports.
Review and post customer credit card payments.
Assist with month‑end close activities, including account reconciliations.
Support invoicing activities.
Identify opportunities to improve internal accounting procedures and recommend process enhancements.
Maintain organized filing systems and proper documentation for accounting records.
Meet all weekly, monthly, quarterly, and year‑end deadlines.
Ensure compliance with federal, state, and company accounting policies and procedures.
Review vendor invoices for accuracy and proper approvals prior to processing.
Enter vendor invoices into the ERP system (Net Suite preferred) to ensure timely payment.
Assist with weekly check runs, ACH payments, and vendor statement reconciliations.
Respond to vendor inquiries and resolve discrepancies in a professional and timely manner.
Maintain accurate and organized A/P files and supporting documentation.
Support month‑end close activities related to A/P accruals and reconciliations as needed.
Associate’s degree or higher in Accounting, Finance, or a related field required.
1–3 years of experience in accounting, bookkeeping, or related financial administration.
Experience with full-cycle A/R and A/P processes, including account reconciliations.
Proficiency with ERP accounting systems (Net Suite preferred).
Intermediate to advanced Excel skills (pivot tables, VLOOKUP, data validation, formatting).
Proficiency in Microsoft Office Suite (Word, Excel, Outlook).
Strong organizational, analytical, and multitasking skills with high attention to detail and accuracy.
Effective written and verbal communication skills with customers, vendors, and internal teams.
Proven ability to manage multiple priorities and meet deadlines in a fast‑paced environment.
Ability to work independently and collaboratively within a team environment.
Bilingual (English/Spanish) is a plus but not required.
The physical demands described are representative of those required to successfully perform the essential functions of this position. Reasonable accommodations may be made for individuals with disabilities.
Regularly required to talk and hear.
Frequently required to use hands or fingers to handle objects or controls.
Occasionally required to stand, walk, sit, and reach with hands and arms.
May occasionally lift or move items up to 15 pounds.
Vision requirements include close vision, distance vision, and the ability to adjust focus.
Work environment noise level is typically low to moderate.
This job description is not intended to be a comprehensive list of all duties, responsibilities, or activities required for the position. Duties and responsibilities may change at any time, with or without notice.
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