Full-Time

Accounts Payable Coordinator

William & Mary

William & Mary

Compensation Overview

$65k/yr

Williamsburg, VA, USA

Hybrid

Hybrid role based in Williamsburg, VA; occasional travel for business.

Category
Accounting (1)
Required Skills
Workday HRIS
Word/Pages/Docs
Excel/Numbers/Sheets
Requirements
  • Associate degree in accounting, finance, or related field or equivalent combination of education, experience, and training.
  • Hands-on accounts payable experience, preferably in multi- entity or nonprofit settings (preferably 2-4 years).
  • Experience with IRS 1099 compliance and vendor tax documentation.
  • Prior experience with check issuance, ACH processing, reimbursements, authorizations, invoice preparation, and journal voucher submission.
  • Familiarity with banking and treasury operations related to payments.
  • Strong organizational skills and ability to manage multiple priorities.
  • High attention to detail and accuracy in data entry and payment reviews.
  • Proficiency in Microsoft Office (Excel, Outlook, Word).
  • Ability to maintain and properly organize electronic and paper records in line with audit and tax requirements.
Responsibilities
  • Process invoices, expense reimbursements, payment requests, and journal vouchers using Workday or related systems.
  • Ensure timely payments via checks, ACH, and wire transfers.
  • Prepare and process check requests, coordinate with bank personnel.
  • Input payment data accurately; troubleshoot system issues with Data Control or IT.
  • Run reports, submit positive pay files and ACH control totals, and resolve banking issues.
  • Oversee Accounts Payable processes across subsidiaries and resolve discrepancies.
  • Review documentation for accuracy, approvals, and policy compliance.
  • Verify budget availability and ensure adherence to internal controls and donor restrictions.
  • Maintain digital records of check requests and related documentation.
  • Update authorized signers and fund restrictions in Workday.
  • Ensure compliance with WMF financial policies, IRS regulations, and grant requirements.
  • Conduct outreach to vendors for confirmation requests as part of WMF’s annual audit, particularly for accounts payable verification.
  • Serve as primary contact for departments and vendors regarding payments, tax documentation, and invoice status.
  • Facilitate vendor setup and ensure 1099 tax compliance.
  • Monitor and track 1099 reportable payments; prepare and file annual 1099 forms.
  • Respond to 1099 inquiries from vendors and auditors.
  • Maintain Accounts Payable aging reports and vendor reconciliations.
  • Manage deposits with the University Cashier and banks.
  • Assist with quarter-end and year-end close procedures.
  • Provide data and reports for audits, budgets, and financial statements.
  • Support improvements in payables systems, workflows, and internal controls.
  • Assist Controller and Assistant Controller with banking authorization documents and agreement.
Desired Qualifications
  • Experience with sophisticated financial systems, data entry, transaction reconciliation, processing invoices and travel reimbursements.
  • Experience supporting senior-level administrators in financial or investment practice.
  • Prior work in higher education or nonprofit financial administration.
  • Familiarity with Workday.

Company Size

N/A

Company Stage

N/A

Total Funding

N/A

Headquarters

N/A

Founded

N/A