Related skills
reconciliations jira netsuite vendor management accounts payable📋 Description
- Onboard new vendors (TIN matching, NetSuite creation, payment info).
- Maintain vendor records, update banking details, and process JIRA tickets.
- Provide support in the provider payment application process.
- Reconcile data sources and perform monthly bank reconciliations.
- Assist external audits and due diligence requests.
- Support special projects and analyses as directed.
🎯 Requirements
- Bachelor’s degree in Accounting, Finance, or related field.
- Experience in accounting operations, vendor management, and AP.
- Proficient with NetSuite; experience with Google Drive and JIRA is a plus.
- Excellent attention to detail and problem-solving skills.
- Ability to manage multiple tasks and meet deadlines.
- Strong communication skills and ability to work cross-functionally.
🎁 Benefits
- Flexible hybrid schedule: 1 day onsite, 4 days remote
- 15 PTO days plus local holidays
- Medical coverage for you and dependents (OSDE Plan 310)
- Reimbursement for eligible wellness activities
- English lessons
- Global and local events participation
Meet JobCopilot: Your Personal AI Job Hunter
Automatically Apply to Finance Jobs. Just set your
preferences and Job Copilot will do the rest — finding, filtering, and applying while you focus on what matters.
Help us maintain the quality of jobs posted on Empllo!
Is this position not a remote job?
Let us know!