Accounting and Finance Clerk

Careington International CorporationFrisco, TX
Hybrid

About The Position

For more than 45 years, Careington International has been a leader in the health and wellness benefits space. Since its founding in 1979, Careington has been delivering dental discount solutions as its core competency. Today, Careington has expanded to offer a growing portfolio of 150+ health, wellness, lifestyle and virtual health products and services designed to deliver cost savings across a spectrum of life needs. Through its affiliated nationally licensed third-party administrator (TPA), Careington also delivers full-scale administrative services, including customer service, licensed enrollment, claims administration, individual and group billing.

Requirements

  • Comprehension of full cycle bank reconciliations
  • Familiarity of journal entries and general ledger
  • Ability to work at a high‐volume pace, under pressure and still meet fixed deadlines
  • Be a self‐starter, and thrive in a fast‐paced/deadline‐driven environment
  • Ability to self‐check work for accuracy, detail‐oriented, demonstrate good judgement, and use constructive criticism to improve work
  • Able to perform multiple tasks simultaneously
  • Process‐minded with critical thinking and problem‐solving skills
  • Strong time management skills
  • Able to work independently with minimum supervision, as well as in a team environment
  • Strong communication skills – both written and verbal
  • The ability to handle confidential information with the utmost discretion
  • Must maintain a professional attitude, and work cohesively in a team environment
  • Adobe proficiency
  • Data entry skills
  • General math skills
  • Strong Excel skills and proficient with Microsoft Office products

Nice To Haves

  • Microsoft Dynamics GP knowledge is a plus!
  • Previous Finance experience or working towards an Accounting/Finance degree is preferred, but not required

Responsibilities

  • Verify, code, and Process deposits
  • Produce/Compose daily, weekly, and monthly reports
  • Validate monthly commissions
  • Data analysis and validation of various reporting
  • Work closely with other departments on end‐of‐month reconciliations
  • Transfer data into meaningful, professional, and easy to understand formats for various audiences/departments
  • Extract data from various sources
  • Code revenue with proper debit and credits using chart of accounts
  • Enter Journal Entries and Bank Transactions in Microsoft Dynamics GP
  • Process manual payments and postings in Microsoft Dynamics GP
  • Prepare and audit Journal Entries to ensure an effortless Bank Reconciliation
  • Prepare daily, weekly, and monthly reports as requested; from various sources, including Microsoft Dynamics GP
  • Work closely with the Claims department to validate and void stale checks
  • Maintains and updates incoming payment/banking forms
  • Maintains historical records by combining and filing documents in folders on the network
  • Assist with various projects as needed
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