Accounting Analyst

Wccu Credit UnionWestby, WI
390d

About The Position

The Accounting Analyst is responsible for maintaining the accuracy and timeliness of general ledger and internal DDA reconciliations. This role requires a keen attention to detail to ensure all accounts are balanced regularly and involves posting transactions, identifying inconsistencies, and assisting with various accounting functions within the credit union.

Requirements

  • Four years related work experience in reporting, bank reconciliation, and/or accounts payable, preferably within a financial institution.
  • Equivalent work experience in lieu of a degree will be considered.
  • Ability to work effectively in a fast-paced, highly regulated, and deadline-driven environment.
  • Professional verbal and written communication skills.
  • Intermediate computer skills, including Microsoft Outlook, Word, and Excel (pivot tables and v-lookups).
  • Outstanding attention to detail and multi-tasking skills.
  • Excellent analytical, problem-solving, and organizational skills.

Responsibilities

  • Ensure all general ledger and internal DDA reconciliations are current and accurate.
  • Post transactions accurately and independently spot and correct inconsistencies.
  • Adopt and meet all assigned performance management goals and objectives.
  • Assist other departments with general ledger balancing.
  • Assist staff in analyzing and improving job processes.
  • Support the CFO/Controller in special projects as assigned.
  • Assist with annual audit and regulatory examination by gathering requested items and preparing schedules.
  • Complete cross-training of additional duties within the Accounting Department for effective backup support.
  • Review SQL, general ledger accounts, clearing accounts, and exception reports for prior day posting errors.
  • Implement improvements in workflow efficiency.
  • Maintain knowledge of finance and accounting functions in the credit union and provide support to all areas.
  • Communicate openly with managers to ensure productive interactions.
  • Perform miscellaneous accounting, finance, or strategic ad hoc report requests.
  • Prepare appropriate general ledger entries and balance general ledger accounts.
  • Process new credit union employee checklists including setup/removal of cash user general ledgers.
  • Stay updated on all accounting software features and functionality.
  • Prepare various internal and external reports in accordance with GAAP and regulatory standards.
  • Assist the Controller with maintaining the general ledger chart of accounts.
  • Post daily credit card settlement entries and reconcile daily.
  • Research and resolve discrepancies promptly.
  • Prepare sold participation loan documentation and ensure accurate tracking.
  • Apply payments and assist with purchased participation loans.
  • Process ODP, credit card, loan, and bad check charge-offs in a timely manner.
  • Maintain corporate credit card information and necessary paperwork.
  • Provide backup to other Accounting staff for daily balancing of electronic deposits.
  • Provide technical support and backup for the accounts payable process and maintain 1099 reporting accurately.
  • Develop automated reporting to increase productivity.
  • Create, organize, and maintain files using database and spreadsheet programs; retrieve and organize data into required reporting formats.
  • Identify financial discrepancies and resolve management inquiries; recommend solutions to staff and ensure corrections are implemented properly.
  • Create branch financial statements and develop and track cost center expenses.
  • Prepare assigned general ledger account reconciliations on a timely basis and resolve reconciling items appropriately.
  • Develop and maintain controls and reports to support the reconciliation process.
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