Accounting Specialist
Listed on 2026-08-13
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Accounting
Accounts Receivable/ Collections, Financial Reporting
What We Do
Forma Life Sciences is a next-generation CDMO headquartered in Irvine, California, where molecules become medicine.
Forma supports oral solid dosage programs from early clinical development through commercial manufacturing, with deep formulationexpertiseand cGMP manufacturing capabilities supporting pharmaceutical partners and the patients they serve.
Unlike large, highly layered organizations, Formaoperateswith a hands-on, execution-driven model. Our teams work closely across functions to solve complex technical and operational challenges, move quickly, and deliver consistently high-quality results.
Employees at Forma are expected to take on meaningful responsibility, collaborate directly with colleagues and clients, and contribute to building scalable systems and processes as the company grows. This is an environment well suited to individuals who value autonomy, technical excellence, and the opportunity to help shape a growing organization.
Job OverviewThe Accounting Specialist is responsible for supporting the day-to-day accounting operations of the organization, with a primary focus on Accounts Payable, while also supporting Accounts Receivable, cash management, reconciliations, and general ledger activities. This role requires strong attention to detail, excellent organizational skills, and the ability to work independently while collaborating effectively across departments. The Accounting Specialist plays a key role inmaintainingaccuratefinancial records, ensuring thetimelyprocessing of transactions, and supporting month-end close activities.
Essential Functions and Responsibilities Accounts Payable (Primary):- Manage the full-cycle Accounts Payable process, includingmonitoringthe AP inbox, reviewing invoices for accuracy and appropriate approvals, coding expenses, and entering invoices into the accounting system.
- Process weekly payment runs by ACH, check, wire, and other approved methods; verify payment details andmaintainsupporting documentation.
- Review invoices andpurchaseorders for proper authorization, coding, documentation, and compliance with company policies and internal controls.
- Research and resolve invoice discrepancies, duplicate invoices, pricing differences, missing receipts, and vendor account issues in partnership with internal stakeholders.
- Maintain vendor records, including W-9 documentation, payment terms, banking information, and vendor setup or change requests.
- Reconcile vendor statements and key AP-related general ledger accounts; investigate and clear aged or unmatched items.
- Support annual 1099 preparation and other vendor reporting requirements.
- Respond promptly and professionally to vendor and employee inquiriesregardinginvoice status, payments, expense coding, and documentation requirements.
- Support Accounts Receivable activities, including customer invoicing, cash application, account reconciliations, and maintenance ofaccuratecustomer account records.
- Assist with customer billing for projects, pass-through costs, credit memos, billing adjustments, and other revenue-related transactions.
- Monitor outstanding receivables andassistwithcollectionfollow-up, account research, and resolution of customer billing inquiries.
- Maintain the daily cash report, including deposits, payment allocations, and updates to the AR aging and cash collection metrics.
- Prepare and post recurring and non-recurring journal entries with complete andaccuratesupporting documentation.
- Perform balance sheet and general ledger account reconciliations, including AP, AR, cash, prepaid expenses, accruals, fixed assets, and other assigned accounts.
- Assist with month-end and year-end close activities, including accruals, expense analysis, cut-off review, account roll-forwards, and variance research.
- Support the maintenance of prepaid expense schedules, fixed asset records, depreciation schedules, and recurring accruals.
- Review general ledger activity for accuracy, investigate unusual transactions, and coordinate corrections as needed.
- Assist with bank and credit card reconciliations and ensure reconciling items are resolved timely.
- Prepare schedules and supporting documentation for financial statement review, external audits, tax filings, and other compliance requirements.
- Maintain organized and complete electronic accounting recordsin accordance with document retention requirements and internal controls.
- Identify process improvements and help develop scalable procedures, checklists, and controls as the Finance function grows.
- Provide backup support across Finance and perform other accounting duties and special projects as assigned.
Execute on-demand data analysis and special projects to support immediate business needs.
Qualifications- Bachelor's degree in Accounting, Finance, Business Administration, or a related field preferred; equivalent relevant experience may be considered.
- Two or more years of accounting experience with hands-on responsibility for Accounts Payable…
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