Accounts Payable Specialist

Tompkins Community Bank

City of Ithaca (NY)

Hybrid

USD 25,000 - 29,000

Full time

14 days+
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Benefits offered by this job

Medical
Dental
Vision
401(k) Match
Profit Sharing
Paid Time Off
11 Holidays
Tuition Reimbursement
Free Parking

Job summary

Tompkins Community Bank is seeking an Accounts Payable professional to handle full-cycle AP activities, including invoice processing, payments, and reconciliation. The role supports month-end close, maintains vendor records, and ensures compliance with internal controls and regulatory requirements.

Responsibilities include matching invoices to POs, ensuring proper approvals, and responding to vendor inquiries.

Qualifications

  • High School Diploma or GED required.
  • Minimum 6 months accounts payable or related accounting experience.
  • Knowledge of AP processes, accounting principles, and financial recordkeeping.

Responsibilities

  • Process invoices accurately and timely.
  • Validate coding and account allocations.
  • Prepare and process vendor payments (checks, ACH, wire).
  • Reconcile vendor statements and AP ledgers.
  • Assist month-end close and accruals.
  • Maintain supporting documentation and respond to vendor inquiries.

Skills

Accounts payable
Analytical skills
Attention to detail
Communication skills
Excel
ERP systems

Education

High School Diploma/GED

Tools

Microsoft Office
Accounting software

Job description

Overview

Responsible for performing full-cycle accounts payable activities, ensuring timely and accurate processing of invoices, vendor payments, expense reimbursements, and account reconciliations. Maintains vendor records, supports month-end closing activities, and ensures compliance with company policies, internal controls, and regulatory requirements. Collaborates with internal departments and external vendors to resolve discrepancies while promoting operational efficiency and excellent service.

Responsibilities
Invoice Processing
  • Review, verify, and process vendor invoices for accuracy, completeness,appropriate approvals, and proper accounting coding.
  • Match invoices to purchase orders, contracts, and receiving documentation when applicable.
  • Ensure invoices are entered accurately and timely into the accounting system.
  • Monitor invoice workflow and approvals to facilitate timely payment processing.
VendorPayment Manager
  • Prepare and process payments including checks, ACH transfers, wire payments, and other approved methods.
  • Maintain payment schedules and ensure obligations are paid according to established terms.
  • Resolve payment issues, exceptions, and vendor inquiries promptly.
  • Assist with administration and maintenance of vendor records and banking information.
Account Reconciliation
  • Reconcile vendor statements and accounts payable ledgers.
  • Investigate and resolve discrepancies, outstanding balances, duplicate payments, and unapplied credits.
  • Support month-end close activities through accrual preparation and reconciliations.
  • Maintain accurate supporting documentation for all accounts payable transactions.
Internal Controls and Compliance
  • Ensure adherence toestablishedaccountspayable procedures and internal controls.
  • Support audit requests and examinations by providing required documentation and information.
  • Help identify and prevent payment errors, fraud risks, and policy violations.
  • Maintain compliance with company policies, accounting standards, and regulatory requirements.
Continuous Improvement and Operational Excellence
  • Recommend process improvements to enhance efficiency, accuracy, and service levels.
  • Support system implementations, workflow enhancements, and automation initiatives.
  • Participate in departmental projects and contribute to continuous process improvement efforts.
Accounting Payable Operations
  • Process approved invoices accuratelyand timely.
  • Validate invoice coding and account allocations.
  • Maintain accounts payable records and supporting documentation.
  • Monitor accounts payable aging and follow up on outstanding items.
  • Prepare and process vendor payments in accordance with company policies.
  • Respond to vendor inquiries regarding payment status and account activity.
  • Collaborate with internal stakeholders and vendors to resolve discrepancies.
Financial Reporting and Month-End Close
  • Performaccountspayable reconciliations and account analysis.
  • Assist with month-end, quarter-end, and year-end close activities.
  • Prepare accounting entries related to accounts payable and accrued expenses.
  • Support preparation of financial reports and schedules as requested.
Internal Controls, Audit Support, and Compliance
  • Maintain proper documentation and audit trails for all transactions.
  • Support internal and external audit requests.
  • Ensure compliance with internal control standards and departmental procedures.
  • Assist in implementing corrective actions identified through audits or reviews.
Process Improvement and Financial Planning Support
  • Identifyopportunities to improve payment processing and vendor management practices.
  • Support accounting and finance initiatives as assigned.
  • Contribute to special projects and perform additional duties as needed.
Qualifications
  • High School Diploma/GEDrequired
  • Minimum 6 months accounts payable or related accounting experience required
  • Knowledge of accounts payable processes, accounting principles, and financial recordkeeping practices.
  • Experience processing invoices, vendor payments, and account reconciliations.
  • Strong analytical and problem-solving skills.
  • Strong written and verbal communication skills.
  • Proficiency with Microsoft Office applications, particularly Excel, Outlook, and Word.
  • Experience with accounting and ERP systems preferred.
  • Ability to manage multiple priorities and meet established deadlines.
  • Strong attention to detail, accuracy, and organizational skills.
  • Ability to work independently while contributing effectively within a team environment.
Benefits
  • Medical
  • Dental
  • Vision
  • 401(k) Match
  • Profit Sharing
  • Paid Time Off
  • 11 Holidays
  • Tuition Reimbursement
  • Free Parking throughout Tompkins Community Bank
  • Employee Referrals
EEO Statement

Tompkins is committed to a policy of Equal Employment Opportunity ("EEO") with respect to all team members and applicants for employment and a work environment free from discrimination (including unlawful harassment) based on race, color, religion, sex, sexual orientation, transgender status, gender non-conformity, gender identity, gender expression, national origin, age, marital status, domestic violence victim status, disability, predisposing genetic characteristics, military or veteran status or status in any group protected by federal, state, or local law.

For more information, please click here

#communitybank

#LI-hybrid

Pay Range

USD $18.00 - USD $21.00 /Hr.

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