Summary The Accounting Specialist is responsible for balancing the daily totals of the Credit Union as well as maintaining accurate records and producing timely financial reports. Essential Functions Compile daily reports. Daily Institution Balancing Processor. Organize and reconcile daily work to institution totals. Import and post daily journal vouchers. Operate PC to access the credit union’s accounting system and member account information. Research discrepancies and work with branch and department staff to resolve items. Process daily incoming and outgoing wires. Prepare Branch and ATM cash orders. Reconcile daily bank check exceptions and deposits. TGA reporting and vouchers. Operate PC, printer, ten-key; fax machine, copier, and telephone. Additional duties as assigned.
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Job Type
Full-time
Career Level
Entry Level
Education Level
No Education Listed