Accountant - Operations - FT

Veridian Credit UnionCedar Falls, IA
Hybrid

About The Position

The Accountant - Operations handles a variety of general accounting duties including balancing/reconciling general ledger accounts, accounts payable, maintaining monthly accrual/prepaid schedules, maintaining fixed asset/depreciation records, and monthly financial statement preparation and analysis. This role requires working 2 days per week on-site in Cedar Falls, Iowa.

Requirements

  • Bachelor's Degree in Accounting, Finance or closely related field.
  • 2+ years of related work experience.
  • Fluent computer skills in a Microsoft Windows environment. Must include Excel.

Nice To Haves

  • Accounting software experience.

Responsibilities

  • Knowledgeable of all functions performed by and all products and services offered by the accounting department.
  • Balance daily suspense transactions including Credit Card Management (CCM) loans, and DNA loan and deposit balancing.
  • Research, identify and correct daily GL import off ages.
  • Maintain documentation, balance and prepare monthly journal entries for sold loans, sold participation pools, and mortgages sold with servicing retained.
  • Maintain documentation, balance and prepare monthly journal entries for all third-party Fintech loan products.
  • Responsible for tax filing and balancing, including but not limited to, sales and use, personal property taxes, real property taxes, and 945 tax withholding.
  • Prepare appropriate general ledger entries, balance general ledger accounts and follow up on outstanding items when necessary. Assist other departments with general ledger balancing.
  • Process monthly accrued/deferred expenses, prepaid maintenance and supplies, projects, taxes, fixed asset module and other items noted on the monthly and yearly checklist.
  • Maintain equipment and property lease records/schedule.
  • Balance and post bi-weekly payroll files
  • Balance payment protection, warranty and GAP GL’s and post monthly entries
  • Prepare monthly financial statement packet and monthly variance analysis.
  • Assist with department projects.
  • Assist with annual financial statement audit and exam documentation requests.
  • Remain abreast on all accounting software features and functionality.
  • Manage support cases for all applications used within the accounting area.
  • Responsible for timely and accurate financial reporting to the VP Controller, management team, Board of Directors, and various outside agencies.
  • Assist members and employees with problems and questions that may arise.
  • Make recommendations to increase revenue and decrease expenses.
  • Maintain policies and procedures manual for this position.
  • Contribute positively to team effort by consistently achieving established goals and expectations.
  • Act as backup to department team members as needed.

Benefits

  • Outstanding benefits
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