Accounting & Client Reconciliation Specialist

CREDIT SYSTEMS INTERNATIONAL, INC.Fort Worth, TX
Onsite

About The Position

Credit Systems International, Inc. (CSII) is currently hiring an Accounting & Client Reconciliation Specialist to join our Accounting team. This role is a great fit for someone who enjoys working with numbers and data, pays attention to the details, and likes figuring out why something doesn’t match. You’ll handle a mix of payment processing, account reconciliation, financial data, reporting, and Accounting support. When something doesn’t add up, you’ll dig in, research the issue, and help get it resolved. You’ll also work with teams across CSII, including Accounting, Client Relations, Operations, and leadership. Some days will follow established processes, while others may bring something new to investigate or solve. If you’re organized, comfortable working with data, and take pride in accurate work and following things through, we’d like to hear from you.

Requirements

  • High school diploma or equivalent required
  • Previous experience in accounting support, payment processing, account reconciliation, data processing, customer service, or a similar office environment is preferred.
  • Comfortable using Microsoft 365, including Excel, and willing to learn additional functions and tools as needed.
  • Comfortable learning and working across multiple computer systems.
  • Able to work with a high volume of information while maintaining accuracy and attention to detail.
  • Organized and able to manage multiple responsibilities and deadlines.
  • Able to recognize when something doesn’t look right, investigate the issue, and ask questions when needed.
  • Clear and professional written and verbal communication skills.
  • Dependable, positive, and comfortable working independently and as part of a team.
  • Able to handle confidential consumer, client, and company information appropriately.

Nice To Haves

  • Additional education or training in Accounting, Finance, Business, or a related area is a plus.
  • Experience with account reconciliation, revenue cycle management, credit and collections, ACH/SFTP processes, or healthcare account systems is a plus, but not required.

Responsibilities

  • Process and post consumer and client payments received through multiple payment channels, including checks, ACH, and credit card transactions.
  • Handle refunds, insufficient or unidentified payments, NSF activity, and other payment adjustments.
  • Perform daily payment and new-business balancing and maintain accurate records.
  • Analyze payment activity and perform client account reconciliations.
  • Research and resolve deposit, payment, posting, and account discrepancies.
  • Validate account and financial information from multiple data sources for accuracy and completeness.
  • Identify incomplete or inaccurate information and ensure necessary account edits and corrections are completed in a timely manner.
  • Process client documents and work with our Client Relations Team when additional or missing information is needed.
  • Support ACH, secured file transfer (SFTP), reporting, statement processing, and other Accounting activities.
  • Receive and process incoming mail and route consumer and client documentation to the appropriate teams.
  • Communicate relevant information and discrepancies to Accounting, Client Relations, Operations, and leadership.
  • Provide general administrative and operational support to the Accounting Department as business needs arise.

Benefits

  • Medical, dental, and vision insurance
  • Paid time off and paid holidays
  • 401(k) retirement plan
  • Attendance bonus program
  • Additional company-sponsored benefits
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