Accountant II

City of AustinAustin, TX
Hybrid

About The Position

Provides financial information to management by preparing, researching, and analyzing accounting data; preparing intermediate to advanced level reports and financial statements.

Requirements

  • Knowledge of bookkeeping procedures.
  • Knowledge of generally accepted accounting principles (GAAP).
  • Knowledge of the preparation process of financial statements in conformity with generally accepted accounting principles.
  • Knowledge of financial reporting concepts and preferred business practices.
  • Skill in effective verbal and written communication.
  • Skill in analyzing and interpreting financial records.
  • Skill in processing large volumes of numerical data.
  • Skill in performing basic mathematical calculations.
  • Skill in classifying fiscal data and compiling fund level statements and reports.
  • Skill in operating a personal computer and related equipment.
  • Skill in designing spreadsheets and utilizing word processing and database software.
  • Skill in analyzing, preparing, checking and balancing routine fiscal transactions and accounts.
  • Ability to prepare accurate financial statements at an intermediate level of complexity.
  • Ability to resolve problems or situations requiring the exercise of good judgment.
  • Ability to establish and maintain good working relationships with other City employees and the public.
  • Graduation with a Bachelor’s degree from an accredited college or university with major course work in a field related to Accounting, twenty-four (24) college semester hours in Accounting, plus two (2) years of accounting experience.
  • A Master’s degree in a related field may substitute for one (1) year of experience.
  • CPA license may substitute for the education requirement.

Nice To Haves

  • Intermediate knowledge of Microsoft Office products to include Excel, Access, Outlook, Teams, and Word.
  • Experience with financial systems and applications, including Advantage 4 or similar.
  • Demonstrated experience with accounts receivables including billing, posting customer payments and revenue collections.
  • Demonstrated experience processing and/or reviewing accounting entries and reconciliations.
  • Demonstrated experience with bank reconciliations.
  • Demonstrated experience with researching discrepancies relating to customer accounts, payments and general ledger.

Responsibilities

  • Maintains general ledger information and reviews financial transactions by creating and/or monitoring electronic files and/or accounting documents.
  • Maintains accounting ledgers by posting/reviewing and/or approving the posting of accounting transactions of intermediate and higher dollar-value and complexity, ensuring transactions are processed in accordance with City policy, applicable laws and regulations, generally accepted accounting principles (GAAP), and sound business practices.
  • Processes revenue collections and/or customer payments; prepares analysis of delinquent accounts, calculating/assessing delinquent fines/fees for supervisor/manager review; prepares/ reviews accruals and/or other accounting entries, ensuring transactions are processed in accordance with City policy, applicable laws and regulations, generally accepted accounting principles, GAAP.
  • Prepares and/or reviews grant accounting entries and reconciliations by compiling and analyzing general ledger account information.
  • Prepares and/or reviews asset, liability, inventory, and/or capital accounting entries by compiling and analyzing general ledger account information.
  • Reconciles general ledger and/or bank accounts and resolves account discrepancies by reconciling statements and transactions and investigating supporting documentation.
  • Prepares financial statements and/or special reports by preparing balance sheets, income statements, cash flows, and other special reports; at an intermediate to advanced level; collecting, analyzing, and summarizing general ledger account information and trends; conducting variance analysis; applying intermediate skills and knowledge of accounting and reporting requirements; generally accepted accounting principles, GAAP.
  • Prepares audit work papers for annual or special audit by preparing accurate supporting work papers at an intermediate level for assigned area(s); work is reviewed by other staff; providing explanations of city policy/procedures and responding to auditor's questions/requests in a timely and accurate manner.
  • Assists departments and other internal or external customers by providing procedural/financial information and/or other information and guidance with automated or manual systems.
  • Carries out projects by completing projects of moderate to advanced levels of complexity and/or completing parts of complex projects.
  • Maintains financial security by following established internal accounting controls.
  • Responsible for the posting and application of revenue for DSD and other departments, including reconciliation & tracking of revenue per city cash policy.
  • Provide reporting of revenue by source and date to ensure compliance in accordance with the COA policy.
  • Issuing credit card and/or check refunds.
  • Conducting account & bank reconciliations.
  • Assisting as a cashier.

Benefits

  • Low-cost medical, dental, vision
  • Paid leave time
  • Highly competitive retirement plan
  • Career development opportunities
  • Wellness programs
  • On-site fitness centers
  • Mental health support
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