Staff Accountant
Company: Silicon Valley Finance Group
Location: Menlo Park
Posted on: April 2, 2026
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Job Description:
Job responsibilities: Process transactions in accordance with
GAAP, perform basic reconciliations , be the face of SVFG to the
client. Can successfully: Process AP (assign proper accounts,
assign proper approver(s), assign proper class, identify proper day
of payment, validate bill is not a duplicate, follow up on
approvals for all “key” bills that must be paid for continuation of
business operations and ensure those are paid timely, identify any
unpaid CA use tax) including: Properly identify expense, prepaid,
and fixed asset accounts for all bills; verify proper account with
the manager for all others Obtain vendor contract for all vendor
bills Obtain I 9s for all vendors who will require 1099s prior to
making payments Verify vendor bill is in agreement with contract
(i.e., hourly rate or milestone payments for contractor, no invoice
beyond term date, etc.) Identify roll-up accounts and classes v.
direct accounts and classes Use Bill.com to process AP and sync
appropriately to QuickBooks, NetSuite, Intacct or the li ke as well
as know how to run a standard check run in QuickBooks Pro and
QuickBooks Online Use AP tool e m bedded within NetSuite, Intacct,
and other mid - tier accounting packages to process , manage
approvals and pay AP Properly process and account for “emergency”
payments outside of Bill.com via check or wire Identify possible
duplicate bills and resolve appropriately Identify the appropriate
approver for all bills Process AP with minimal errors Ensure
recurring “fixed” payments, such as rent, are processed timely, as
well as recurring “variable” payments, such as benefits. File hard
copy docs timely (e.g., no more than one week of unfiled docs)
Manage and process purchase orders as appropriate ( including manag
ing proper approv al based on approval limits and department ,
validate PO is not a duplicate , sync as necessary to Bill.com or
other AP system. Process expense reports and corporate credit cards
(assign proper accounts, assign proper approver(s), assign proper
classes, validate expenses are in line with client T&E policy,
validate expense report items are not duplicates), including Use
Expensify to process expense reports and credit cards Process
approved expense reports timely and record payment in Quickbooks ,
NetSuite , Intacct , or the like Also process hard copy expense
reports; file timely Maintain vendor files Scan and attach all
vendor contracts to vendor in Bill.com File a hard copy of the
vendor contract in permanent files if not using Bill.com Track
vendor contracts (effective date, term date, description, total
obligation) Investigate vendor payments, expense report payments,
credit card payments as necessary; contact vendors and resolve any
billing issues Process invoices (AR) to customers under the
direction of the General Accounting Manager or Controller Set up
new customers and validate information with executed contracts
Verify prices, payment terms, other relevant terms with fully
executed contract Track against POs as and identify differences
between POs and total invoiced amounts Perform collection calls
under direction of General Accounting Manager or Controller Perform
basic reconciliations within monthly close calendar deadline Cash
recons (including sync of bank activity to QuickBooks or other
accounting system as appropriate) Prepaid recons; monthly Fixed
Asset recons; monthly Perform other ad-hoc analysis and
transactional processing as required by managers or client
Leverages knowledge of other staff members and team members to
resolve questions and inform answers for client Provides support to
other peers by actively participating in Staff round tables,
actively participating in monthly pre-close meetings and monthly or
weekly team meetings, proactively disseminating information or
knowledge (client specific or general technical knowledge) to team
and peers (at meetings, via slack or via email communications)
Proactively leverage s Slack channels to communicate when available
but not billable to aid other staff members and clients Timely
responsiveness: responds to communications (emails, texts, slack,
voicemails etc.) from clients and internal staff members within the
day with either 1) an answer or 2) a n acknowledgement of receipt
of the email and a reasonable estimate of the time needed to
respond to set expectations The Staff Accountant role involves
processing financial transactions in compliance with GAAP, managing
accounts payable and receivable, performing reconciliations, and
maintaining vendor and document records. Responsibilities include
ensuring timely and accurate processing of payments and invoices,
managing expense reports, and tracking contracts using tools like
QuickBooks, Bill.com, NetSuite, and Expensify. The position
requires resolving billing issues, conducting collections, and
supporting monthly close activities while collaborating with team
members and maintaining proactive communication with clients.
Strong organizational skills, attention to detail, and the ability
to meet deadlines in a dynamic, team-oriented environment are
essential.
Keywords: Silicon Valley Finance Group, Stockton , Staff Accountant, Accounting, Auditing , Menlo Park, California