The Accounts Payable (AP) Coordinator II is responsible for the accurate and timely processing and payment of inventory-related supplier invoices, including exception-based, EDI and non-EDI, invoice activity within applicable Procure-to-Pay and ERP systems.
This role supports alignment between purchasing, inventory, receiving, and financial records by performing detailed reconciliations, analyzing received not invoiced (RNI) activity, resolving quantity and pricing variances, and helping ensure supplier discounts are captured where applicable.
The position requires strong analytical and problem-solving skills, attention to detail, and the ability to manage high-volume transactions while partnering effectively with suppliers, warehouse, product, and finance teams in a fast-paced environment.
Headquartered in Fort Worth, TX, TTI, Inc. is the world’s leading authorized distributor of passive, connector, electromechanical and discrete components. Celebrating more than 50 years, this Berkshire Hathaway company is ever-growing and has over 100 locations in North America, Europe, and Asia! Join a winning team in a growing global organization!
Our Accounts Payable Coordinator II (Inventory) Team:
Process and reconcile high-volume inventory invoices accurately and within required timelines across applicable P2P and ERP systems.
Perform 3-way matching of invoices, purchase orders, and receipts; investigate and resolve pricing, quantity, receipt, short-payment, and credit variances.
Review and reconcile supplier statements, researching outstanding or missing invoices, credits, and other discrepancies through resolution.
Coordinate with Product, Purchasing, Procurement, Warehouse, and suppliers to obtain information required to resolve pending invoices in a timely manner.
Review invoice posting and general ledger for accuracy and perform corrections or reclasses as needed, accurate accruals, timely invoice posting, and discount optimization.
Maintain accurate records and data integrity across purchasing, inventory, and financial systems, and support account reconciliations including subledger-to-general-ledger validation where applicable.
Assist with weekly payment runs, EDI exception review, reconciliations, Month-End support, special projects, and reporting unusual activity or discrepancies to AP leadership.
Respond promptly to inquiries from management, auditors, business partners, and suppliers, maintaining strong customer service and supplier relationships.
Ensure compliance with internal controls, approval workflows, and accounting policies while identifying process improvement opportunities.
Support cross-training and provide backup support across AP functions.
Education and Experience Requirements:
What we look for:
Software Preferred:
This is a summary of the primary accountabilities and requirements for this position. The company reserves the right to modify or amend accountabilities and requirements at anytime at its sole discretion based on business needs. Any part of this job description is subject to possible modification to reasonably accommodate individuals with disabilities.
Please note that we do not offer relocation assistance for this position. Candidates must be local or willing to relocate at their own expense.
Visa sponsorship is not available for this role. Only candidates authorized to work in the United States will be considered.
What we offer our team members:
Want to learn more? Visit us at Working at TTI, Inc.
We are an Equal Opportunity Employer, and we support protected veterans and individuals with disabilities through our affirmative action program.
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