<p>We are seeking a Disbursements and Reconciliation Specialist for a contract-to-hire opportunity in Fort Worth, Texas. This position supports a high-volume accounting operation by processing carrier and commission-related disbursements, reconciling account activity, and researching payment differences. The ideal candidate takes ownership of their work, enjoys solving problems, and can maintain accuracy while meeting established deadlines and performance expectations.</p><p>Responsibilities:</p><p>• Review and process carrier, vendor, and commission-related disbursements accurately and on schedule.</p><p>• Validate payment information and supporting documentation before transactions are released.</p><p>• Reconcile statements, payment records, and account activity to internal financial data.</p><p>• Research payment differences, missing information, incorrect balances, and other transaction issues.</p><p>• Work with internal departments and external contacts to obtain documentation and resolve outstanding items.</p><p>• Prepare reconciliation schedules, payment summaries, and transaction support files.</p><p>• Monitor open balances and follow up consistently until issues are resolved.</p><p>• Maintain accurate and organized transaction records within accounting systems.</p><p>• Assist with assigned account reconciliations and documentation during month-end and year-end close.</p><p>• Respond to payment status questions and provide supporting records for audits and account reviews.</p><p>• Meet established expectations for transaction volume, accuracy, turnaround time, and issue resolution.</p><p>• Identify opportunities to improve controls, streamline workflows, and reduce recurring payment errors.</p><p><br></p>
We are looking for a Medical Accounts Receivable Specialist to support revenue cycle operations for a Contract position based in Dallas, Texas. In this role, you will help drive timely reimbursement by overseeing medical billing activity, researching claim issues, and working outstanding balances to resolution. The ideal candidate brings strong experience with payer follow-up, denials, and payment reconciliation across government and commercial plans. This opportunity is well suited for someone who can work independently, stay organized in a fast-paced setting, and maintain accuracy while meeting billing and collections goals.<br><br>Responsibilities:<br>• Manage the full accounts receivable cycle by reviewing unpaid claims, pursuing follow-up with insurance carriers, and taking appropriate action to secure payment.<br>• Prepare and submit clean claims accurately and on time while monitoring billing activity to reduce delays, rejections, and unresolved balances.<br>• Post payments, adjustments, and remittance details with precision, ensuring cash activity is recorded correctly and account records remain current.<br>• Investigate denied, underpaid, and unprocessed claims, identify root causes, and complete appeals or corrective actions to improve reimbursement outcomes.<br>• Communicate with Medicare, Medicaid, managed care organizations, and commercial payers to verify claim status, clarify discrepancies, and resolve outstanding issues.<br>• Support collection efforts by following up on aged receivables, documenting account actions, and escalating complex items when additional review is needed.<br>• Review payer guidelines, regulatory requirements, and internal policies to maintain compliant billing and follow-up practices.<br>• Collaborate with internal teams to address coding, eligibility, authorization, or credentialing-related concerns that may affect claim payment.<br>• Contribute to reporting and account analysis by tracking trends in denials, payment variances, and receivable aging to support process improvement.
<p>· Prepare and distribute customer invoices accurately and in a timely manner.</p><p>· Process high-volume transactions and maintain customer account records.</p><p>· Apply cash receipts and post customer payments to the appropriate accounts.</p><p>· Prepare bank deposits and assist with daily cash management activities.</p><p>· Process chargebacks, deductions, credit memos, and account adjustments.</p><p>· Reconcile accounts receivable balances and assist with reconciling A/R to the General Ledger.</p><p>· Prepare journal entries related to accounts receivable and cash transactions.</p><p>· Review and analyze aging reports to identify delinquent accounts.</p><p>· Support the collections process through customer follow-up, collections calls, and account resolution activities.</p><p>· Prepare aging schedules and reporting for management and the collections department.</p><p>· Communicate with customers regarding invoice discrepancies, payment status, and outstanding balances.</p><p>· Maintain accurate records and documentation for audits and month-end close activities.</p><p>· Research and resolve payment discrepancies and customer account issues.</p>
We are looking for an experienced Accounts Receivable/Credit Specialist to join a manufacturing organization in Irving, Texas. This position plays a central role in maintaining accurate receivables, supporting timely collections, and ensuring customer accounts are handled with precision. The ideal candidate brings strong business-to-business AR knowledge, sound judgment in resolving account issues, and the ability to work effectively with both customers and internal partners in a fast-paced setting.<br><br>Responsibilities:<br>• Apply incoming customer payments from multiple channels, including electronic transactions, checks, and lockbox activity, while ensuring receipts are recorded accurately and on time.<br>• Process account-related transactions such as credits, deductions, chargebacks, and other adjustments in accordance with company procedures.<br>• Review customer balances regularly, reconcile account activity, and investigate variances to correct posting errors or outstanding discrepancies.<br>• Prepare and evaluate receivables aging information, follow up on overdue balances, and raise collection concerns when further action is needed.<br>• Build productive relationships with customers to support prompt payment and improve overall account performance.<br>• Oversee daily lockbox activity and confirm that all remittances are matched and posted to the appropriate customer accounts.<br>• Assist with month-end accounts receivable close activities, including reconciliations and reporting support.<br>• Partner with departments such as Sales and Customer Service to research and resolve billing, payment, and account-related issues.
We are looking for an Accounts Payable Specialist to join a wholesale distribution organization in Fort Worth, Texas on a contract basis with the potential for a permanent role. This position supports timely and accurate payment operations by reviewing invoices, resolving discrepancies, and maintaining strong coordination with internal teams and suppliers. The ideal candidate brings hands-on accounts payable experience, sound judgment with account coding, and a detail-focused approach to processing high-volume transactions.<br><br>Responsibilities:<br>• Examine supplier invoices for proper authorization, assign the appropriate expense and general ledger coding, and prepare documents for accurate processing.<br>• Manage electronic invoice exception activity and handle invoices received outside automated channels, ensuring receipt dates and supporting details are properly documented.<br>• Review supplier debit memos, enter approved invoices into the system, and carry out payment cycle activities including check and ACH processing.<br>• Complete three-way matching when required by comparing purchase orders, receipts, and invoices before releasing items for payment.<br>• Partner with product, warehouse, and other internal teams to gather missing information and resolve invoices that cannot be processed as submitted.<br>• Reconcile supplier statements, respond to audit-related requests, and escalate discrepancies to the appropriate stakeholders for correction.<br>• Monitor invoice postings for general ledger accuracy and help maintain reliable financial records within the accounts payable function.<br>• Provide additional support to accounts payable leadership through cross-training, special assignments, and timely communication of unusual transaction activity.
<p>Accounts Payable and Commissions Specialist</p><p>Our client is seeking a detail-oriented Accounts Payable and Commissions Specialist to support a high-volume, KPI-driven accounting operation. This role is responsible for accurately processing payments and commissions, completing account reconciliations, resolving discrepancies, and consistently meeting established productivity and accuracy goals. They are building out their team, and this is great opportunity to earn a fulltime spot with a long-standing client in the heart of Fort Worth!</p><p>Responsibilities</p><ul><li>Process a high volume of accounts payable and commission-related transactions accurately and on schedule.</li><li>Meet established KPIs for productivity, accuracy, turnaround time, and issue resolution.</li><li>Review statements and reconcile them against internal records.</li><li>Research and resolve payment, billing, commission, and account discrepancies.</li><li>Prepare payment summaries, reconciliation reports, and supporting documentation.</li><li>Monitor outstanding balances and follow up on unresolved items.</li><li>Partner with internal departments and external contacts to resolve account issues.</li><li>Maintain complete and accurate transaction records within the company’s financial systems.</li><li>Support month-end and year-end close activities.</li><li>Provide supporting documentation for audits.</li><li>Identify opportunities to improve payment and reconciliation processes.</li></ul><p><br></p><p><br></p>
<ul><li>Process high-volume vendor invoices through matching, coding, and batching procedures.</li><li>Verify invoice accuracy and ensure proper approval and account coding before payment.</li><li>Prepare and enter vouchers and journal entries related to accounts payable transactions.</li><li>Reconcile accounts payable balances and assist with reconciling A/P to the General Ledger.</li><li>Prepare and process weekly check runs, including both automated and manual payments as needed.</li><li>Monitor vendor accounts, resolve discrepancies, and respond to vendor inquiries in a timely manner.</li><li>Assist with payment discounts, credit memos, and vendor statement reconciliations.</li><li>Process employee expense reports and ensure compliance with company expense policies.</li><li>Review supporting documentation, including purchase orders, receiving documents, and bills of lading when applicable.</li><li>Maintain accurate vendor records and support month-end and year-end closing activities.</li><li>Generate and analyze A/P reports as requested by management.</li><li>Collaborate with internal departments to resolve invoice and payment-related issues.</li></ul>
We are looking for an Accounts Payable Specialist to join a growing team in Irving, Texas. This position plays an important role in keeping vendor payments accurate, timely, and well-documented across multiple business entities. The ideal candidate brings strong accounts payable experience, sound judgment, and the ability to stay organized while managing a high volume of transactions in a fast-paced environment.<br><br>Responsibilities:<br>• Review, validate, and enter a large volume of vendor invoices for multiple entities, ensuring accurate account coding and complete approval support.<br>• Handle end-to-end accounts payable activities, including invoice intake, purchase order matching, receipt verification, and payment processing.<br>• Maintain vendor records by updating account details, collecting tax documentation, and tracking information needed for year-end reporting.<br>• Coordinate weekly disbursement cycles across approved payment methods while following established financial controls and company policies.<br>• Work closely with business leaders and field teams to research and resolve billing discrepancies, delayed approvals, and supplier concerns.<br>• Reconcile accounts payable records to the general ledger and assist with closing tasks at the end of each month.<br>• Monitor open payables and follow up on overdue items to help maintain strong vendor relationships and accurate aging reports.<br>• Support the rollout and continuous improvement of accounts payable automation tools and help streamline workflows as new entities are added.<br>• Prepare documentation for audit requests and contribute to process improvements, integration efforts, and other assigned projects.
<p>We are looking for an Accounts Payable Specialist to immediately join a great organization in Mansfield, Texas on a contract to permanent basis! This role is ideal for someone who brings strong invoice processing experience, attention to detail, and the ability to manage vendor payments accurately in a fast-paced environment. The position will support day-to-day accounts payable operations, expense review, account reconciliation, and reporting while maintaining confidentiality and organized financial records.</p><p><br></p><p>Responsibilities:</p><p>• Review invoices and expense documentation for accuracy, assign the correct general ledger accounts and cost centers, and prepare items for timely payment processing.</p><p>• Complete three-way matching by comparing purchase orders, receiving records, and invoices to confirm valid charges before releasing payments to vendors.</p><p>• Reconcile accounts payable activity by comparing transaction entries with system-generated reports and resolving any balance differences.</p><p>• Investigate and resolve discrepancies related to purchase orders, contracts, invoices, payments, and supporting documentation in coordination with internal teams and vendors.</p><p>• Reconcile vendor statements on a regular basis to confirm account accuracy and address outstanding items promptly.</p><p>• Audit employee credit card submissions and reimbursement requests against company policy and process approved expenses for payment.</p><p>• Manage debit-based disbursements, oversee recurring payment obligations such as leases, and maintain accurate payment schedules for routine transactions.</p><p>• Calculate applicable sales and use tax on invoiced goods and services, produce requested data reports, and respond to departmental questions regarding expenses.</p><p>• Maintain orderly filing and record retention practices for accounts payable documentation while safeguarding confidential financial information and updating procedural knowledge as needed.</p>
<p>We are looking for an Accounts Payable Specialist to join an insurance organization in Fort Worth, Texas on a Contract to Full-Time basis. This position focuses on handling payables and commission-related transactions with accuracy, supporting reconciliations, and keeping financial records organized and audit-ready. The role partners with internal departments and external contacts to address variances, answer payment questions, and help maintain efficient accounting operations.</p><p><br></p><p>Responsibilities:</p><p>• Process vendor invoices and insurance commission payments accurately while meeting established deadlines.</p><p>• Compare billing statements and account activity against internal records to verify completeness and resolve variances.</p><p>• Investigate payment, commission, and billing issues by working with business partners and internal teams to reach timely resolution.</p><p>• Prepare reconciliation schedules, payment support, and summary reports for accounting review and documentation purposes.</p><p>• Track open balances and follow up consistently on aged or unresolved items to support clean accounts.</p><p>• Maintain precise transaction details in financial systems and ensure supporting records are complete and properly organized.</p><p>• Assist with month-end and year-end accounting tasks, including reconciliations and related closing support.</p><p>• Respond to payment and audit-related requests by supplying clear documentation and transaction backup.</p><p>• Recommend practical improvements that strengthen payment processing, reconciliation workflows, and overall accuracy.</p>
We are looking for an Accounts Payable Specialist to support day-to-day invoice and payment activities for a growing organization in Westlake, Texas. This is a Long-term Contract position suited for someone who can manage high-volume payables work with accuracy and consistency. The ideal candidate will help maintain timely vendor payments, ensure proper financial coding, and contribute to smooth accounts payable operations.<br><br>Responsibilities:<br>• Review incoming invoices for accuracy, completeness, and proper approval before processing them for payment.<br>• Assign correct general ledger or account codes to invoices and expenses in alignment with company policies.<br>• Process accounts payable transactions efficiently while maintaining organized and accurate records.<br>• Prepare and execute payment activities, including ACH transactions and routine check runs, within established deadlines.<br>• Reconcile vendor statements and resolve discrepancies by coordinating with internal teams and external suppliers.<br>• Monitor outstanding payables to help ensure timely disbursements and maintain strong vendor relationships.<br>• Support documentation and audit readiness by keeping payment files and invoice records current and accessible.
We are looking for an Accounts Payable Specialist to join our team and help keep our payables operations organized, accurate, and on schedule. This position is well suited for someone who is dependable, detail-focused, and comfortable managing a busy invoice workflow while maintaining strong vendor relationships. The role works closely with the Accounting Manager and partners across departments to support smooth financial processes and timely payments.<br><br>Responsibilities:<br>• Manage a high volume of supplier invoices, ensuring each transaction is entered correctly and completed within established deadlines.<br>• Compare billing documents against purchase orders and receiving records to confirm accuracy before processing.<br>• Examine invoices for appropriate authorization and general ledger coding prior to approval.<br>• Coordinate recurring payment activity, including check runs, electronic payments, and wire transactions.<br>• Review vendor account statements, investigate inconsistencies, and resolve outstanding issues promptly.<br>• Respond to supplier questions about payment status, account balances, and related concerns in a thorough and attentive manner.<br>• Maintain complete and accurate vendor files so required records and supporting documentation remain up to date.<br>• Support month-end close by preparing accounts payable entries, reconciliations, and related reporting.<br>• Prepare and submit sales and use tax filings on a monthly, quarterly, and annual basis across multiple jurisdictions.<br>• Partner with purchasing, receiving, and branch teams to address invoice discrepancies and strengthen compliance with internal controls.
<p>· Process weekly, bi-weekly, semi-monthly, or monthly payroll for hourly and salaried employees.</p><p>· Review, audit, and enter employee timecards, timesheets, and payroll data.</p><p>· Calculate overtime, shift differentials, bonuses, commissions, and other earnings adjustments.</p><p>· Process multi-state payroll and ensure compliance with applicable tax regulations.</p><p>· Coordinate payroll processing using in-house systems and/or third-party payroll providers.</p><p>· Maintain employee payroll records and update changes related to compensation, deductions, and benefits.</p><p>· Track and administer vacation, PTO, sick leave, workers' compensation, and other employee accruals.</p><p>· Process payroll-related deductions, garnishments, child support orders, union deductions, and benefit withholdings.</p><p>· Assist with expense reimbursement processing and bonus payments.</p><p>· Prepare payroll deposits and ensure timely funding of payroll obligations.</p><p>· Complete payroll tax filings and year-end reporting, including W-2s, 1099s, 941s, 940s, and other required filings.</p><p>· Reconcile payroll accounts and post payroll-related entries to the General Ledger.</p><p>· Respond to employee payroll inquiries and resolve discrepancies.</p><p>· Assist with payroll audits and ensure compliance with company policies and government regulations.</p><p>· Communicate with benefit providers, payroll vendors, and other external contacts as needed.</p>