Accountant - Accounting Bellco

Bellco Credit UnionGreenwood Village, CO
Onsite

About The Position

This position is responsible for establishing and maintaining complex accounting records, system recommendations and procedures, to ensure adequate accounting and control. Assist in establishing account procedures. Provides accurate and timely financial statements and reports to management. Applies GAAP and regulatory accounting procedures and requirements to the financial data and systems.

Requirements

  • B.S. in Accounting or Finance or equivalent critical thinking ability to analyze data and understand complex accounting methods, procedures and terms as often acquired through a college degree.
  • 3-5 years of finance or accounting experience preferred.
  • One year of accounting experience with a financial institution preferred.
  • Must be able to analyze data and understand complex accounting methods, procedures and terms.
  • Manual dexterity to input data on keyboard; i.e. computer, calculator (10 key by touch), telephone, PC and typewriter.
  • Visual ability to interpret data from terminal screen or written documents.
  • Knowledge of PC programs (windows and accounting software).
  • Understanding and carrying out written and verbal directions.
  • Communicating clearly and concisely in verbal and written form.
  • Ability to actively listen and assimilate the needs of other employees, department and vendors in person, by phone or through written communication.
  • Critical thinking ability to analyze data and understand complex accounting methods, procedures and terms as often acquired through a college degree.

Responsibilities

  • Provides a valuable and enjoyable experience to both internal customers and members during interactions.
  • Consistently suggests ways to improve the member/customer experience through improved processes and technology.
  • Performs a variety of more complex, detail orientated accounting duties under limited supervision.
  • Assist in the preparation of financial statements, including preparing adjusting and closing entries, researching and correcting unusual variances, inputting actual data, and assuring the validity of the completed statements.
  • Gathers information and completes various reports for internal purposes, regulatory agencies and vendors.
  • Posts and reconciles subsidiary ledgers and assist other department members in the completion of their own account reconciliations.
  • May act as a team leader on special projects, and assist in the training of other department members.
  • May assist in preparation of annual budget.
  • Files account reconciliation, various records, reports, checks, etc.
  • Gathers information from and distributes information to other departments.
© 2026 Teal Labs, Inc
Privacy PolicyTerms of Service