Accoutant

Wright-Patt Credit UnionBeavercreek, OH
$69,680 - $104,603

About The Position

The Accountant provides a variety of accounting services including assisting with the preparation of WPCU and consolidated financial statements, monthly closing activities, and reconciling general ledger accounts for WPCU.

Requirements

  • Proficiency in accounting principles and practices.
  • Experience with general ledger reconciliation.
  • Ability to resolve complex accounting issues.
  • Knowledge of risk mitigation and operating controls.
  • Experience with month-end closing procedures.
  • Familiarity with financial statement preparation.
  • Ability to prepare ad hoc reports.
  • Strong organizational and problem-solving skills.
  • Ability to develop and revise practices and procedures.
  • Experience in financial analysis.
  • Ability to work effectively with auditors and examiners.
  • Excellent communication and interpersonal skills for providing support via telephone and email.
  • Ability to represent the Accounting department on committees and projects.

Nice To Haves

  • Experience with WPCU and consolidated financial statements.
  • Experience with deferred loan costs and income, repossessions, share and loan balancing, fixed assets, prepaid expenses, and accrued liabilities.
  • Experience with quarterly NCUA Call Report and Federal Home Loan Bank Collateral Certification.
  • Experience providing on-the-job training to Reconciliation Specialists.
  • Experience serving as an Accounting representative on committees or projects.

Responsibilities

  • Compiles all necessary data and reports for assigned reconciliations. Reconciles moderately complex general ledger accounts (GLs) as assigned on a daily, weekly, and monthly basis. Resolves non-routine, complex issues. Ensures proper policies, procedures, risk mitigation activities, and operating controls are followed. Reports gaps in policies, procedures, and operating controls to leadership to ensure member impact and risk is mitigated.
  • Plays an integral part in the month-end close cycle; responsible for closing entries including but not limited to deferred loan costs and income, repossessions, share and loan balancing (including loans serviced by a third party), fixed assets and prepaid expenses, and accrued liabilities. Assists in the preparation of quarterly NCUA Call Report and Federal Home Loan Bank Collateral Certification. Provides Management with ad hoc reports as needed.
  • Tracks all outstanding reconciling items for assigned areas and works with other internal and/or external departments to resolve on a timely basis.
  • Develops and revises practices and procedures as they relate to the Accountant duties. Performs other functions within the Accounting department to support the overall function, which may include providing back-up support for the other Accounting personnel, providing on-the-job training to the Reconciliation Specialists, and preparing and posting daily Accounting entries. Performs financial analysis of operations as requested by the Accounting Manager.
  • Maintains an effective working relationship with auditors and examiners and actively participates in the oversight of internal and external audits and/or examinations.
  • Provides accounting/transactional support via telephone and email to the Member Center Network.
  • As needed, serves as an Accounting representative on committees or projects aimed at the improvement and development of new procedures, products/services, and efficiencies for WPCU. Other duties as assigned.
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