Accounting Clerk

Curtiss-Wright CorporationCharlotte, NC
$23 - $25Onsite

About The Position

As an Accounting Clerk, you will perform a variety of accounting functions in accordance with standard procedures. This role involves reconciling bank accounts, posting to and balancing general or subsidiary ledgers, processing payments, and compiling segments of monthly closings and annual reports. You will identify discrepancies, determine alternative courses of action, and classify/code transactions to appropriate accounts. This position may require contacting other departments and/or outside agencies to resolve common problems.

Requirements

  • Experience in a manufacturing or publicly traded company
  • Microsoft Outlook, Word, and PowerPoint proficiency
  • Experience with electronic workflow and document management systems
  • Strong attention to detail
  • Excellent organizational skills
  • Ability to prioritize multiple tasks
  • Strong analytical and problem-solving skills
  • Effective written and verbal communication
  • Ability to work independently and collaboratively
  • High level of integrity and confidentiality

Responsibilities

  • Greet and assist visitors.
  • Manage incoming and outgoing mail.
  • Answer and direct phone calls, providing information and assistance as needed.
  • Records retention management.
  • Create and manage maintenance requests.
  • Coordinate office-wide communications.
  • Schedule and manage conference room bookings.
  • Maintain and track suite access badges for employees and visitors.
  • Upload and track sales invoices in customer billing portals.
  • Prepare and send invoices for processing, ensuring all necessary documentation is included and verifying the accuracy of billing information.
  • Reconcile purchasing card transactions, ensuring all expenses are accurately recorded, receipts are collected, and any discrepancies are resolved promptly.
  • Create test checks for bank certification purposes, ensuring they meet all required specifications and standards for successful bank validation.
  • Oversee the printing and mailing of the Canadian Accounts Payable checks, ensuring accuracy and timeliness.
  • Distribution of urgent check payments via courier to U.S. entities.
  • Handle the processing of returned checks, including reconciliation and communication with relevant parties.
  • Perform check scanning for deposits, ensuring proper documentation, coding and timely submission to the bank.
  • Manage the purchase of office supplies using an online shopping application (Zycus).
  • Review and release purchase orders for the Zycus P2P platform.
  • Provide secondary approval for banking wire transfers, ensuring accuracy and adherence to supporting documentation.
  • Review and confirm that information provided by Customers & Suppliers aligns with requirements.

Benefits

  • Paid Time Off
  • 401K with Employer Match and Profit Sharing
  • Health and Wellness Benefits
  • Learning and Development Opportunities
  • Referral Program
  • Competitive Pay
  • Recognition
  • Employee Stock Purchase Plan
  • Inclusive & Supportive Culture
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