Capital Impact Partners
Accounts Payable Specialist
Capital Impact Partners, Washington, District Of Columbia, United States, 20310
Momentus Capital AP Specialist
The
Momentus Capital branded family
of organizations - which includes Capital Impact Partners, CDC Small Business Finance and Momentus Securities (an SEC-registered broker-dealer, MSRB-registered, FINRA/SIPC member) - are transforming how capital and investments flow into communities to provide people access to the capital and opportunities they deserve. We are working to reinvent traditional financial systems and advance locally-led solutions that create economic mobility and generational wealth. Through our continuum of financial, knowledge, and social capital, we offer a comprehensive package of loan products, impact investment opportunities, training and business advising programs, and technology solutions. Our holistic and streamlined approach offers comprehensive solutions for small business entrepreneurs, real estate developers, community-based organizations, and local leaders at every stage of growth, from inception to expansion. When these leaders have the opportunity to succeed, their communities, their residents
and our country
thrive. Position Summary
The AP Specialist is responsible for processing payments, through the AP system, to reimburse vendors and employees. Also ensuring accurate recording of other cash transactions in the general ledger. This position handles all aspects of accounts payable and provides support to the Accounting Department. Essential Responsibilities
Receive and process invoices, check requests, and wire requests submitted through the Papersave workflow. Review all invoices and check requests for appropriate documentation and approval prior to payment processing. Ensure proper vendor numbers, EFT setup, general ledger account coding, appropriate approvals, and supporting documentation accompany invoices and payment requests. Date stamp all incoming invoices and submit for department manager approval. Code and process invoices and manual checks into Sage 100 according to department policies and deadlines. Prepare weekly invoice batches for multiple entities. Mail out and distribute signed checks as required. Backup for ACH/Wire processing in payment systems (e.g., Kyriba Treasury Management System). Ensure accurate recording of transactions for general ledger purposes. Respond promptly to vendor and employee inquiries regarding expenses. Generate annual 1099s for consultants and assist with W-9 acquisition and 1096 filings. Maintain accounts payable files according to department policy. Perform month end closing procedures. Ensure assigned closing journal entries are made and accurate. Reconcile of General Ledger Accounts assigned. Ensure source documentation is appropriate. Follow up on reconciling items to determine the appropriate action. Support the preparation of monthly roll-forward schedules. Key contact during implementation of new team-wide systems which involve interfaces to the Blackbaud general ledger system (ie. Papersave workflow). Generation of annual audit schedules including breakout of legal and contractual services invoices. Research and resolve any outstanding balances on accounts, including telephone, mail, or email communications with vendors. Open and distribute department mail. Responsible for scanning AP documents. Assist with other department duties and/or projects as needed.
The
Momentus Capital branded family
of organizations - which includes Capital Impact Partners, CDC Small Business Finance and Momentus Securities (an SEC-registered broker-dealer, MSRB-registered, FINRA/SIPC member) - are transforming how capital and investments flow into communities to provide people access to the capital and opportunities they deserve. We are working to reinvent traditional financial systems and advance locally-led solutions that create economic mobility and generational wealth. Through our continuum of financial, knowledge, and social capital, we offer a comprehensive package of loan products, impact investment opportunities, training and business advising programs, and technology solutions. Our holistic and streamlined approach offers comprehensive solutions for small business entrepreneurs, real estate developers, community-based organizations, and local leaders at every stage of growth, from inception to expansion. When these leaders have the opportunity to succeed, their communities, their residents
and our country
thrive. Position Summary
The AP Specialist is responsible for processing payments, through the AP system, to reimburse vendors and employees. Also ensuring accurate recording of other cash transactions in the general ledger. This position handles all aspects of accounts payable and provides support to the Accounting Department. Essential Responsibilities
Receive and process invoices, check requests, and wire requests submitted through the Papersave workflow. Review all invoices and check requests for appropriate documentation and approval prior to payment processing. Ensure proper vendor numbers, EFT setup, general ledger account coding, appropriate approvals, and supporting documentation accompany invoices and payment requests. Date stamp all incoming invoices and submit for department manager approval. Code and process invoices and manual checks into Sage 100 according to department policies and deadlines. Prepare weekly invoice batches for multiple entities. Mail out and distribute signed checks as required. Backup for ACH/Wire processing in payment systems (e.g., Kyriba Treasury Management System). Ensure accurate recording of transactions for general ledger purposes. Respond promptly to vendor and employee inquiries regarding expenses. Generate annual 1099s for consultants and assist with W-9 acquisition and 1096 filings. Maintain accounts payable files according to department policy. Perform month end closing procedures. Ensure assigned closing journal entries are made and accurate. Reconcile of General Ledger Accounts assigned. Ensure source documentation is appropriate. Follow up on reconciling items to determine the appropriate action. Support the preparation of monthly roll-forward schedules. Key contact during implementation of new team-wide systems which involve interfaces to the Blackbaud general ledger system (ie. Papersave workflow). Generation of annual audit schedules including breakout of legal and contractual services invoices. Research and resolve any outstanding balances on accounts, including telephone, mail, or email communications with vendors. Open and distribute department mail. Responsible for scanning AP documents. Assist with other department duties and/or projects as needed.