Reeder General Contractors
Who we are:
REEDER is a family-built, purpose-driven construction management firm serving Texas schools and communities since 1994. We exist to provide opportunity and add value to the lives of the people we work with — our employees, our partners, and the clients who live and work in the buildings we deliver.
Our culture is grounded in servant leadership, a deep commitment to safety, a belief in treating people like family, and a relentless drive for excellence. We empower our teams to lead, grow, innovate, and take pride in their work. If you’re looking for a place where your voice matters, your growth is supported, and your work makes a lasting impact on future generations — you’ll thrive here.
Role Overview: Accounting Specialist's responsibilities expands beyond basic transaction management to include more advanced duties, such as advanced AP/AR Management, Reconciliation and reporting, ensuring accuracy of the GL, handling escalated issues of AP/AR.
Minimum Qualifications
Experience with accounting software and databases
Knowledge of accounting principles, standards and regulations
Bachelors degree in accounting, finance or related field or equivalent experience
Industry knowledge
Proficient in Microsoft Office Suite (Excel, Word, Outlook)
Competencies
Bookkeeping
Accounting principles
Strong Customer Service skills
Proficient in Excel/Spreadsheets
Understands the impact of data entry on financial statements
Skills
Problem solving skills
Attention to detail and ensuring accuracy
Time management/escalation
Proficient in Microsoft Office Suite (Excel, Word, Outlook). Experience with accounting software
Ability to manage and mentor
Critical thinking
Team oriented
Responsibilities: Invoice Processing:
Receive, review, and verify invoices for accuracy, completeness, and compliance with company policies.
Code invoices to the appropriate accounts and cost centers.
Process invoices in a timely manner, ensuring proper approvals before payment.
Payment Processing:
Prepare and process vendor payments, ensuring all payments are made within company terms and deadlines.
Coordinate with the controller to ensure accurate and timely payment disbursements (via check, ACH, wire transfer, etc.).
Resolve payment discrepancies and ensure accurate payment records.
Vendor Management:
Maintain relationships with vendors and suppliers, addressing inquiries, disputes and resolving any issues promptly.
Ensure accurate and up-to-date vendor records, including contact details and payment terms. Assist with vendor statement reconciliations to ensure that accounts are accurate and complete.
Assist with month-end and year-end closing process by providing AP data and reports as needed. Escalate disputes to manager if appropriate.
Subcontractor Pay Application and Pay Outs:
Manage subcontractor pay applications through GCPay, ensuring compliance with contractual and financial requirements.
Enter subcontractor pay applications from GCPay into Foundation for processing.
Monitor and track COI expiration dates within GCPay, proactively requesting updates from subcontractors.
Upload and review lien waivers in GCPay to confirm compliance before processing payments.
Work closely with project managers and accounting team members to address any discrepancies or issues within GCPay.
Role is subject to change and evolve upon business needs.
Reeder General Contractors does not discriminate in employment on the basis of race, color, religion, sex (including pregnancy and gender identity), national origin, political affiliation, sexual orientation, marital status, disability, genetic information, age, membership in an employee organization, retaliation, parental status, military service, or other non-merit factor.
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Our culture is grounded in servant leadership, a deep commitment to safety, a belief in treating people like family, and a relentless drive for excellence. We empower our teams to lead, grow, innovate, and take pride in their work. If you’re looking for a place where your voice matters, your growth is supported, and your work makes a lasting impact on future generations — you’ll thrive here.
Role Overview: Accounting Specialist's responsibilities expands beyond basic transaction management to include more advanced duties, such as advanced AP/AR Management, Reconciliation and reporting, ensuring accuracy of the GL, handling escalated issues of AP/AR.
Minimum Qualifications
Experience with accounting software and databases
Knowledge of accounting principles, standards and regulations
Bachelors degree in accounting, finance or related field or equivalent experience
Industry knowledge
Proficient in Microsoft Office Suite (Excel, Word, Outlook)
Competencies
Bookkeeping
Accounting principles
Strong Customer Service skills
Proficient in Excel/Spreadsheets
Understands the impact of data entry on financial statements
Skills
Problem solving skills
Attention to detail and ensuring accuracy
Time management/escalation
Proficient in Microsoft Office Suite (Excel, Word, Outlook). Experience with accounting software
Ability to manage and mentor
Critical thinking
Team oriented
Responsibilities: Invoice Processing:
Receive, review, and verify invoices for accuracy, completeness, and compliance with company policies.
Code invoices to the appropriate accounts and cost centers.
Process invoices in a timely manner, ensuring proper approvals before payment.
Payment Processing:
Prepare and process vendor payments, ensuring all payments are made within company terms and deadlines.
Coordinate with the controller to ensure accurate and timely payment disbursements (via check, ACH, wire transfer, etc.).
Resolve payment discrepancies and ensure accurate payment records.
Vendor Management:
Maintain relationships with vendors and suppliers, addressing inquiries, disputes and resolving any issues promptly.
Ensure accurate and up-to-date vendor records, including contact details and payment terms. Assist with vendor statement reconciliations to ensure that accounts are accurate and complete.
Assist with month-end and year-end closing process by providing AP data and reports as needed. Escalate disputes to manager if appropriate.
Subcontractor Pay Application and Pay Outs:
Manage subcontractor pay applications through GCPay, ensuring compliance with contractual and financial requirements.
Enter subcontractor pay applications from GCPay into Foundation for processing.
Monitor and track COI expiration dates within GCPay, proactively requesting updates from subcontractors.
Upload and review lien waivers in GCPay to confirm compliance before processing payments.
Work closely with project managers and accounting team members to address any discrepancies or issues within GCPay.
Role is subject to change and evolve upon business needs.
Reeder General Contractors does not discriminate in employment on the basis of race, color, religion, sex (including pregnancy and gender identity), national origin, political affiliation, sexual orientation, marital status, disability, genetic information, age, membership in an employee organization, retaliation, parental status, military service, or other non-merit factor.
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