General Ledger Accountant
Humble Independent School District • Houston, TX • Full Time
Posted on Mon, Apr 20, 2026
Position Summary
Keying vendor invoices into GP in a timely manner. Along with ensuring timely payments, vendor maintenance, and workflows need to be watched so vendor discounts are taken correctly and that invoices and Purchase Orders match.
Primary Roles and Responsibilities
Accounts Payable
- Vendor Management
- P-Card Management
- Customer Service Activities
- Accountable for paying vendor invoices on time (O’Day Equipment LLC, O’Day Management Inc, O’Day Tank & Steel LLC, Business Properties, LLC & Delta Delta LLC)
- Maintain A/P workflows & obtain proper approvals
- Enter A/P invoices into system for payment
- Collating A/P documents into Doclink
- Resolve vendor inquiries for Accounts Payable
- Reconcile vendor statements
- Mail vendor checks
Vendor Maintenance
- Complete Vendor credit applications per vendor requests
- Complete product price changes based on vendor invoices received
- Follow-up on open vendor credit memos to receive check reimbursements
Credit Cards
- Reconcile credit card receipts & statements
- Issue & cancel company credits cards as required
- Ongoing system maintenance on credit card system
- Adjust monthly credit limits as needed
Vendor Information
- Maintain monthly use tax list on company purchases
- Purchases from vendors and internet
- Accuracy of Vendor information/details in GP
- W9’s & 1099’s
- Payment remittance
Vendor Data Review
- Review Vendor data in the GP system for accuracy and proper documentation
- Print & mail year-end 1099’s for all companies
Purchase Order Reconciliation
- Resolve PO vs Payable invoice discrepancies with purchasing
- Costs or parts do not match
- No PO in system
Company Vehicle Leases
- Maintain company vehicle lease schedules
- Notify CFO as we come to the end of each lease on the vehicles
Unclaimed Property Processing
- Review uncashed checks
- Generate Due Diligence letters
- Review Mid-September to meet the 30 day deadline
- File applicable state reports
- Filing October 31
Switchboard Operations
- Accountable for backup switchboard as needed
Normal hours, 8 a.m. to 5 p.m.
Secondary Activities
- Backup accounting department as needed
- Backup mainline phones
- Cross Train in other accounting area
- Generate PO’s
- Sub contractors & Equipment rentals for WOs
- Building Maintenance/supplies
- Equipment Purchases
- Use non-inventory items so they bill directly to expense accounts
- Communicate potential problems/trends to managers
- Backup collating for DocLink
- Other duties as assigned